Position Overview
The Opportunity
An established and growing private sector organisation is seeking an experienced Cash & Treasury professional to join the finance team on an interim basis. This role will play a key part in ensuring effective cash management, liquidity reporting and treasury operations during a period of business change and growth.Working closely with senior finance stakeholders, you will take ownership of daily cash activities, support forecasting processes and help drive improvements across treasury controls and reporting.
Key Responsibilities
Manage daily cash positioning across multiple bank accounts
Monitor cash balances and ensure adequate liquidity across the business
Prepare short and medium-term cash flow forecasts
Perform cash reconciliations and investigate variances
Process and monitor treasury transactions and bank payments
Support working capital management initiatives
Liaise with banking partners and internal stakeholders
Assi...