An exciting opportunity to work for a fast-paced, innovative speciality finance company, this role is part of a highly skilled Treasury team that is responsible for all funding, cash management, cash forecasting, product control for \xc2\xa34B of assets. The team works within finance and the wider business including the Executive Committee, Investor Relations, FP&A, Commercial and Credit Risk teams.The specific role will contribute to the success of Treasury by providing 1) support within the Cash & Treasury Analytics team to ensure NewDay always has sufficient liquidity to fund its receivables and operations daily and 2) high quality analytics and insights to support the critical decision making.What will you be doing day-to-day?Cash & liquidity management:
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