You will manage the companys cash flow by minimising net interest costs, maintaining bank mandates, managing the companys cash management system, taking responsibility for the group's operational banking arrangements, standardise treasury related processes including intra-group loans, and operat
reporting on data
The ideal candidate should have:
Join a dynamic Group Treasury team as a Treasury Analyst and take charge of global cash management and banking
want you on our team Description: As a Financial Analyst, you will play a critical role in guiding our financial a fund level. Proven experience as a Financial Analyst or in a similar role. Strong proficiency in financial
physical inventory counts and cycle counts. Investigate cycle counting variances and resolve issues. analyze inventory and margin reports, conduct research, and perform analytical studies in regards to
physical inventory counts and cycle counts. Investigate cycle counting variances and resolve issues. analyze inventory and margin reports, conduct research, and perform analytical studies in regards to
physical inventory counts and cycle counts. Investigate cycle counting variances and resolve issues. analyze inventory and margin reports, conduct research, and perform analytical studies regarding cost
the general ledger, reconcile accounts, and investigate discrepancies. Financial Analysis: Conduct financial (SA) 3 experience in the food industry with BI Analyst exposure Proficiency in SAGE Accounting software
preparation of presentations and reports for directors' and shareholders' meetings