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Redfield Industrial plc in the United Kingdom seeks a treasury professional to lead the group’s rolling cash flow forecast, manage banking relationships, and oversee FX hedging in line with policy.
You will support covenant reporting to lenders, drive treasury system improvements and automate processes, and work in a hybrid setup with three days in the office. Candidates typically have 5+ years in treasury, AMCT preferred, and strong Excel skills.
Manage cash flow forecasting, banking relationships and FX exposure for a multi-site industrial group.
A diversified industrial group with manufacturing operations across the UK and continental Europe.