Finance Analyst
Posted 7 July by
Axon Moore Group Ltd
Easy Apply
Finance Analyst - £30,000 - £40,000 – Salford (Hybrid & free parking) – 3-6 months (with potential to be extended)
Axon Moore are exclusively representing a fantastic PE -based business based in Salford, who are in the search of an interim Finance Analyst for a 3-6 month period. This role will support the Finance team and is a crucial role in the smooth running of their business. You will contribute to the success of the team by taking on certain responsibilities for the cash and reporting daily. This is an excellent opportunity to become part of fast-moving private equity backed business, based in West Manchester, embracing a period of exciting growth. As a Finance Analyst you won’t be afraid of a challenge, you’ll also communicate confidently and effectively as you will be working with a variety of amazing people from across the business. Ideal person will have at least 2-3 years treasury/cash & bank/ finance analysis experience.
Main Responsibilities
Skills
For immediate consideration please contact
Axon Moore are exclusively representing a fantastic PE -based business based in Salford, who are in the search of an interim Finance Analyst for a 3-6 month period. This role will support the Finance team and is a crucial role in the smooth running of their business. You will contribute to the success of the team by taking on certain responsibilities for the cash and reporting daily. This is an excellent opportunity to become part of fast-moving private equity backed business, based in West Manchester, embracing a period of exciting growth. As a Finance Analyst you won’t be afraid of a challenge, you’ll also communicate confidently and effectively as you will be working with a variety of amazing people from across the business. Ideal person will have at least 2-3 years treasury/cash & bank/ finance analysis experience.
Main Responsibilities
- Cash flow forecasting – 13 week and updating actuals
- Day-to-day banking – raising payments, dealing with user requests
- Supporting with board reporting
- FX hedging and weekly rate updates in the system
- Ensuring bank mandates are accurate and up to date
- Daily reporting to our ATOL Trust
- Managing local cash requirements
Skills
- Treasury / cash management experience preferred but not essential
- Proficient in Excel (lookups, sumifs, pivot tables etc.)
- Qualified accountant preferred but not essential if experienced.
- Collaborative, team player
- Thrive in a fast -paced environment with excellent time keeping skills.
- Problem solver
- A sharp eye for detail.
- Ability to work independently & in a team
For immediate consideration please contact
Reference: 53039981
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