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Treasury Accountant

Perigon Group

RemoteFull-timeMid LevelRemote

Job Description

The Organisation

We are currently partnering with a well-established organisation seeking an experienced Treasury Accountant to join their finance team on an initial 3-month contract. This is a hands‑on role suited to someone who can step in quickly, manage day‑to‑day treasury operations, and support the business through a busy reporting period. You will work closely with senior finance stakeholders and play a key role in cash flow management, treasury reporting, and banking activities.

The Role

Key Responsibilities:

  • Daily cash flow forecasting and liquidity management
  • Monitoring cash positions and bank balances
  • Preparation of bank reconciliations and treasury journals
  • Assisting with month‑end treasury reporting
  • Supporting debt facilities, interest calculations, and covenant reporting
  • Managing payment processes and treasury controls
  • Liaising with banking partners and internal stakeholders
  • Supporting foreign exchange and hedging activities where required
  • Assisting with process improvements and ad hoc finance projects

About You

  • CA / CPA qualified or near completion
  • Previous experience in a Treasury Accountant or treasury‑focused accounting role
  • Strong understanding of treasury operations, cash management, and reconciliations
  • Experience working within a corporate or complex business environment
  • Strong Excel capability and analytical skills
  • Excellent communication and stakeholder engagement skills
  • Able to work independently and hit the ground running

What's On Offer

  • Immediate start opportunity
  • Initial 3 month contract with potential for extension
  • Collaborative and supportive finance team
  • Flexible working arrangements available
  • Competitive hourly rate

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