
Michael Page
Full job description
Opportunity to join a fast growing organiastion
Opportunity to set up a treasury function
About Our Client
Opportunity to set up a treasury function
About Our Client
Our client is a fast growing engineering organisation based in Stockport. Acquired by a PE Organisation in 2022, this organisation is looking to grow their team.
Job Description
This Treasury Manager would be responsible for:
Cash-flow forecasting on a rolling 13 week basis
Preparation and reporting of loan covenant compliance
Migrating existing and new acquisitions onto the Group banking platform
Ownership of the day to day banking of the Group
The Successful Applicant
This Treasury Manager role would suit a candidate with the following experience:
5+ Years experience in treasury
Part/Full Treasury Qualification
Experience with Dynamics 365
What’s on Offer
Stockport Office
4 Days office working
Bonus
