Analyst, Treasury Reporting
PRIMARY RESPONSIBILITIES / KEY RESULT AREAS
Daily Group Cash Position Reporting
• Prepare the daily Group cash position on a consolidated basis
• Reconcile opening balances to the prior-day closing balance, including identification and tracking of reconciling items
• Analyse and report daily movements, with breakdown by:
•Validate and report closing cash balances, ensuring consistency with bank statements and treasury systems
Group D+1 Cash Forecasting
• Produce the Group D+1 cash forecast, including:
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