A dynamic consumer goods brand in the UK is seeking an FP&A or Treasury Analyst to own cash forecasting tasks and support the finance function during growth. The role involves preparing cash flow models, budgeting collaboration with teams, and handling ABL reporting. Ideal candidates will have strong forecasting skills, be commercially curious, and comfortable in an SME setting. Join a hands-on team where your work visibly impacts the company’s financial strategies.#J-18808-Ljbffr…
