What’s the role?

Our client, a global auditing firm, are seeking individuals who will be required to manage financial risk and cash within the treasury business unit. This role will assist in the development policies and procedures of the business unit and its’ long-term financial strategy.

 

Tell me more

Location: Working from home

Rate: DOE

Start date: ASAP

Contract Length: 3 months

 

Your day-to-day activities will include

  • Manage day-to-day Treasury operations, providing support to Treasury Analysts and Head of Treasury.
  • Provide treasury advice to the businesses and corporate functions associated to LIBOR cessation and benchmarking.

What knowledge, skills & experience we need

  • 3-4 years’ experience working as an analyst within a treasury function
  • Exposure to fixed income or derivatives and interbank lending
  • Some dealings from a LIBOR/IBOR preferred


Next steps

To express your interest in this opportunity, don’t delay; please click apply now.

Tell me more

  • Location: Working from home
  • Rate: DOE
  • Work Pattern: TBC
  • Start Dates: ASAP
  • Duration: 3 months