Location: UK Headquarters, Runcorn (3 days working from the office)
We are seeking a Treasury Assistant to join our team. This role is based in our Runcorn office and requires working 3 days per week. The salary is competitive and commensurate with experience.
As the Treasury Assistant, you will be responsible for managing the treasury functions and maintaining acceptable levels of risk for the company while adhering to all statutory and financial reporting requirements. In this role, you will also be responsible for providing support to the Senior Treasury Manager & Treasury Manager in all aspects of treasury operations. This includes assisting with strategic initiatives and ensuring the smooth running of daily operations. Your ability to collaborate effectively will be key to success in this position.
Responsibilities
Your day-to-day tasks will include:
Analyse daily cash availability and provide daily, monthly, annual rolling forecasted cash flow
Assist with budgeting and forecasting for function overhead costs
Liaise with banks, financing companies & SPI to optimise cash flow & reduce costs
Ensure compliance with cash policies and adequate operational cash balances
Ensure compliance with state law and Local Taxing Authorities
Maintain correct accounting under International Accounting Standards and generally accepted accounting principles
Establish and ensure compliance with proper accounting policies and procedures and internal controls related to the treasury function
Support Senior Management by providing timely, concise, and quantitative financial information to enable good decision making
In depth understanding of reconciliations & ticketing process
Develop & manage team, setting targets and monitoring performance
Daily reconciliation of all bank accounts, ticketing & petty cash accounts
Development of the treasury function, promoting good practice & process improvements
Assisting team members with more complex responsibilities
Qualifications
Qualifications
Minimum experience 1 years in the treasury/finance function.
Proven ability to work to strict deadlines.
SAP experience is desirable but not essential.
Excellent attitude to change & work ethic.
Excellent communications, both oral and written.
Track record of staff leadership.
Excellent knowledge of MS Office (especially Excel) and easy familiarisation with new IT Tools.
Ability to work under demanding deadlines, flexible, communicative and ability to work in team.
Excellent English, both written and spoken.
Personal and professional integrity of the highest order.
If you meet this criteria and are ready to take on this challenging and rewarding role, we encourage you to apply today!
Your CV has been submitted successfully.
Complete form below to directly Send your CV / Linkedin Profile to Treasury Assistant at Swissport International AG.
@
You will receive all responses from employer on this email
Example: Application for the post of 'Accountant'
Example: Introduce your self and give purpose of your application
*All fields are mandatory.
Loading...
SWISSPORT INTERNATIONAL AG 55 jobs found
Lounge Services Host - Newcastle Airport at Swissport International AG
London, United Kingdom
Multifunctional agent Ramp and Aircraft Services Agent at Swissport International AG
Belfast, United Kingdom
Aircraft Cleaning Manager (Aircraft & Baggage) at Swissport International AG
Birmingham, United Kingdom
Food Preparation Agent - Birmingham Airport at Swissport International AG
Birmingham, United Kingdom
Regional Facilities Operations Manager at Swissport International AG
Runcorn, United Kingdom
Airside (Ramp & Baggage Services) Agent at Swissport International AG
Manchester, United Kingdom
Station General Manager at Swissport International AG
London, United Kingdom
Treasury Assistant at Swissport International AG
Runcorn, United Kingdom
Head of Customer Service - Heathrow Airport at Swissport International AG