Treasury Analyst: Cash Flow, Forecasting & Liquidity

Company: Harvey John
Apply for the Treasury Analyst: Cash Flow, Forecasting & Liquidity
Location:
Job Description:

A financial advisory company in England is seeking a Principal Advisor to manage cash and banking functions. The role is open to both entry-level candidates and those with prior experience in treasury. Responsibilities include cash flow forecasting, liaising with internal teams, and producing liquidity management reports. This full-time position requires strong Excel and PowerPoint skills and interest in treasury management. Email for more information.#J-18808-Ljbffr…

Posted: April 12th, 2026