The Role
This is a unique opportunity to join a highly successful, fast growing SaaS organisation and play a leading role in their treasury function. As a Senior Treasury Accountant, you will be responsible for overseeing cash management, banking relationships, and financial risk management. Duties will include daily cash flow forecasting, liquidity management, monitoring cash positions and ensuring compliance with company policies and controls.
The Candidate
As a qualified AMCT/ACA/ACCA/CIMA you have 3-5 years of experience in treasury accounting, cash management and financial risk management. You demonstrate proficiency in financial and treasury management systems, and excellent analytical and problem-solving skills. Experience with SaaS/software companies is an asset.
The Company
An established SaaS company that is revolutionising its sector and is poised for continued growth in the future. As they continue to scale, they are looking for a Treasury Accountant to lead critical functions in the finance team, and to play a key role in the success of the organisation.
How to apply
So, if you are looking for a fresh and stimulating opportunity that will fully utilise your considerable skills and experience – then look no further. To apply in confidence please submit a fully detailed CV online detailing your current remuneration package quoting job reference 373658.