Treasury Analyst (12 Month Fixed Term Contract)

  • Location: London

Description

This role is primarily responsible for Chaucer’s Treasury activities including cash forecasting, liquidity management, cash accounting, reconciliations and query resolution. This role also includes Accounts Payable responsibilities, which includes managing payment run cycles and processing invoices within the expense management system.

For more details and to apply, please click here.


Share this:

Apply online

*
*
You are currently offline. Some pages or content may fail to load.