We are currently partnered with a growing Insurance business in the City who are looking to source for a newly created role, working closely with the Finance Director and FP&A function. This is a great opportunity for someone to make this role their own with their hands on approach during the company's growth and look to build the function further.
Role requirements;
- Supporting Treasury and M&A integration.
- Preparing cash flow forecasts alongside the AP/AR and Group Accounting functions.
- Work closely with Senior Management regarding Cash Management and Working Capital.
- Develop new processes and controls across the group as they expand internationally.
Profile requirements;
- Strong Capital Modelling and Forecasting experience
- Financial Services is a must - will consider 1st time movers from practice.
- Proven background of being hands on in the day to reporting.
- Cash Management and Analysis.
This is a Hybrid role, 2-3 days per week in the office. (sponsorship not provided)
If this role is of interest, please apply online with a copy of your up to date CV.