FX Business Partner
Large organisation, who are market leaders in their field, looking to add to their large finance team.
Our client is a established well known organisation who are looking to grow and progress within the market.
To lead on all aspects of liquidity management initiatives and objectives.
Implement and manage FX operations measure - value and efficiency measures.
Working in project capacity to optimise cash management practices eg local vs central funds disbursement operating basis.
Engagement with Senior Management throughout the organisation for Treasury related financing and liquidity requirements.
Establish working relationships between the organisation and Treasury to ensure common information and analysis and avoid duplication and reliance on silos of information and responsibility where FX and liquidity of the organisation are compromised.
Engage with our partner banks and other financial institutions with the oversight of the Group Treasury Manager in respect of financing and liquidity initiatives.
Willingness to develop in depth finance systems, skills and knowledge.
Logical approach to problem solving and process redesign.
Attention to detail to ensure integrity of data within systems
Be adaptable, flexible and supportive
Able to engage with senior stakeholders
Competitive salary + fantastic benefits