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A leading company in the UK Rail sector is seeking a Treasury Finance Manager for a 12-month hybrid contract in Central London. The role involves managing treasury accounting and control activities, ensuring compliance, and optimizing treasury processes. Ideal candidates will demonstrate experience in cash flow forecasting and strong financial controls.
Morgan McKinley is currently working with a large UK Rail business to source a Treasury Finance Manager for a 12-month contract. The offices are based in Central London and will operate on a hybrid basis: 3 days in the office and 2 days from home. This is a 12-month FTC paying £70K, with a £10K completion bonus.
Ultimately, you will be responsible for treasury accounting and control activities, such as cash flow forecasting, monitoring and reporting of net debt and finance costs, performance of key controls for treasury transactions, and settlement, reconciliation, and accounting entries.
The duties will include:
If you are immediately available or on a week's notice, I look forward to hearing from you.
Morgan McKinley is acting as an Employment Agency, and references to pay rates are indicative.
BY APPLYING FOR THIS ROLE, YOU AGREE TO OUR TERMS OF SERVICE, WHICH, TOGETHER WITH OUR PRIVACY STATEMENT, GOVERN YOUR USE OF MORGAN MCKINLEY SERVICES.