StreetHR is representing a long- established multifaceted organisation within the mobility sector who are seeking to appoint a Group Treasury and Consolidation Manager to join their finance team.
Reporting to the Head of Business finance, responsibilities include:
- Generating financial management reports and financial statements;
- Treasury Planning and weekly cash flow management;
- Delivery of annual budget;
- Making sure that company policy is followed for debtors and creditors;
- Helping out the CFO where necessary.
Interested in the above?
If you are a motivated finance professional with experience in similar managerial positions, looking to take on a new challenge in your career, reach out to us today to discuss further!
Not sure if this role is for you but know someone who might be interested? Refer a friend to StreetHR today and receive up to €300 upon successful placement. Terms and Conditions apply. Speak to us for more information on firstname.lastname@example.org