The Treasury Recruitment Company
I am pleased to be working with a great client of ours who is looking to bring a Treasury Analyst into this highly reputable company based in Edinburgh.
The overall objective of the role is to ensure carry out day to day operations of the Treasury function and ensure group liquidity and compliance with acceptable levels of risk (e.g. Counterparty, Commodity, FX) and that they are fit for business.
- Group Liquidity
- Acceptable level of risk
- Trade finance is in place
- Cash management
You will provide support to and service to the business and the Treasury Manager who this role will report directly into.
As the ideal candidate you will have completed or are currently studying towards your AMCT and you will have worked previously in a corporate treasury function within a similar.
Being an excellent communicator is hugely important, you will need to operate effectively at all levels of the business and remain resilient and positive under pressure.
You will have great motivation with high levels of energy and enthusiasm which will help you deliver work of a high standard.
Preferred experience but not essential:
- Oil and gas knowledge
- Listed company exposure
- Banking background in transaction services or coverage
- Conversational competence in French or Spanish would be advantageous but is not essential. At Cairn, our aim is to continually create and sustain a culture-rich nimble working environment where diversity and inclusion are hugely valued.
This is a fantastic role with broad scope and responsibility and offering fantastic benefits. It would suit an experienced Treasury Analyst with strong experience in risk management, cash forecasting, and cash management.
Please note you must have the relevant Right to Work in the UK for this role. Sponsorship will not be offered.