Reporting to the Group Treasurer
Company Overview
Our client is a prominent international cybersecurity solutions and services provider, specializing in the distribution and promotion of cutting-edge cybersecurity technologies and products. With a strong presence spanning Europe, the Middle East, and Africa (EMEA), our client has established itself as a trusted partner for organizations seeking robust cybersecurity solutions.
Operating across multiple countries in EMEA, our client collaborates closely with a dedicated network of channel partners, including value-added resellers (VARs) and system integrators, to effectively provide cybersecurity solutions to end-users. The company’s diverse product portfolio encompasses a wide array of cybersecurity solutions, including network security, endpoint security, identity and access management, encryption, and more, addressing various cybersecurity challenges faced by organizations. They are deeply committed to staying ahead of cybersecurity innovation by continuously evaluating and integrating new technologies into its portfolio to combat ever-evolving cyber threats.
Role Overview
Our client is seeking a Treasury Analyst to join their Treasury team of four in a critical role that involves overseeing operational cash management and facilitating the implementation of new treasury activities across the organization. This role is permanent and presents an opportunity for the successful candidate to make a substantial impact on daily cash operations, global cash balance management, and various treasury tasks, including FX dealing, risk management, and facility opening.
Responsibilities
Daily Cash Operations:
FX Operations:
Cash Forecasting and Reporting:
Requirements
To Apply
If you are interested in being considered for this opportunity, please email your CV to Craig Perkins via craig@treasuryrecruitment.com or call +44 203 603 4448 to discuss further.