This is a fantastic opportunity for a bright Treasury/Finance professional to join a fast growing and successful corporate and banking consultancy firm.
Recognised for their wide-ranging expertise in banking and corporate treasury, this outstanding company are looking to add to there already repeatable team for 2018.
- Treasury organisation and processes
- Bank relationships
- Liquidity and cash management
- Treasury systems
- Working capital management
- Risk management
The ideal candidate will be driven and a fast learner with at least 1-6 years Corporate Treasury experience.
Experience of using SAP would be highly desirable.
He/she will be fluent in written and spoken English. Additional language skills in French or Dutch will also be essential .
This is a fantastic role where you can gain exposure to a variety of client assignments at international operating corporate Company’s, enabling you to gain a deep understanding of all aspects of the supply side (banks) and demand side (corporates) in their domain.
You will work with a team of experts who share a common ambition and who aim to be the best in what they do.
Every consultant is enrolled to a training program where you will receive top internal and external training, tailor-made according to your background and ambitions.
The Company can offer a competitive salary with all the benefits that you can expect to receive as an expert consultant.
How to Apply
If you are interested in being considered for this opportunity, please email your CV to Mike Richards via email@example.com or call +44 203 603 4448 to discuss further.