SIG Plc. is a leading supplier of specialist building materials to trade customers across Europe as a specialist distributor of insulation and interiors products and merchant of roofing and exterior products.
We are currently looking to recruit a Treasury Analyst to directly manage the Group\'s treasury operations, working with the operating companies, and external banking partners.
What does the role involve?
As Treasury Analyst, you will be responsible for the daily Cash & Liquidity Management, liaising
with Op. Co for Daily Cash submissions and assisting with Revolving Credit Facility utilisation, rollovers and interest and Bond interest. You will look after Cashflow forecasting, FX swaps / Forwards risk management, Asset Backed Contribution pensions reporting and look after all general banking and mandates.
The successful candidate will:
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