Dewislen

Book Keeper /Treasury Analyst

Manylion swydd
Dyddiad hysbysebu: 06 Chwefror 2026
Cyflog: £22 i £23 yr awr
Oriau: Llawn Amser
Dyddiad cau: 08 Mawrth 2026
Lleoliad: Inchinnan, Renfrewshire, PA4 9LF
Cwmni: GI Group Main Account
Math o swydd: Dros dro
Cyfeirnod swydd: 55_1770386840

Gwneud cais am y swydd hon

Crynodeb

Workplace -(hybrid- 2 days in the office, at start 3 days in the office)

Pay £22.50 per hour

Weekly Hours -37.5

Hours of Work -9:30-17:30

Position Summary:

Placed within the corporate treasury team, The Treasury Analyst is responsible for managing the day-to-day corporate cash management operations, documentation, liaising with banks, intercompany partners, cash and banking & Treasury team for smooth running of the business. A member of a dynamic team, this role involves a great deal of attention to detail and accuracy and interaction with internal and external entities. Reconciliations form a large part of the work for this role.

Key Responsibilities:

* Reviewing of daily cash positioning and fund various cash pool accordingly.

* Review bank statements to ensure the accuracy for EMEA by entity

* Resolve day-to-day cash and banking related issues in a timely manner

* Review monthly bank account analysis statements

* First point of contact for queries, take ownership and resolve any ad-hoc issues

* Implement and maintain controls to ensure accuracy

* Perform month end reconciliation of Entity In House Bank balances from WSS(TMS) to HFM

* Coordinate training of Intercompany participant members

* Take ownership of bank documentation (includes opening and closing of bank accounts and cash pools)

* Train and on-board new legal entities for Netting

* Develop and maintain relationships with entities

* Maintain process documentation to satisfy Internal Audit/External Audit/SOX requirements

* Support treasury operations

Minimum Requirements/Qualifications:

* Associate's degree or equivalent combination of education, experience and/or license/certification; Bachelor's degree or CTP preferred

* Knowledge of computer applications (Microsoft Office Suite) and banking software and platforms. Experience with treasury workstation a plus

* Two or three years of relevant accounting experience, this should include cash / treasury work and a strong background of bank reconciliations

* Ability to work independently and prioritise tasks as dictated by business needs while meeting strict deadlines

* Excellent verbal and written communication skills - the ability to work with stakeholders in a professional and competent manner

Should you require any support or assistance, please contact your local Gi Group office.

Gi Group Holdings Recruitment Limited are proud founding members of Menopause in business, pledge members for Neurodiversity in business, Disability committed members, Silver status pledge members for the Armed Forces Covenant, and Bronze trail blazers for Racial Equality matters.

Gi Group Holdings Recruitment Limited group of companies includes Gi Recruitment Limited, Draefern Limited, Gi Group Recruitment Ltd, INTOO (UK) Limited, Marks Sattin (UK) Limited, TACK TMI UK Limited, Grafton Professional Staffing Limited, Encore Personnel Services, Gi Group Ireland Limited and Kelly Services (UK) Ltd. Gi Group Ireland Limited are acting as an Employment Agency in relation to this role.

We are committed to protecting the privacy of all our candidates and clients. If you choose to apply, your information will be processed in accordance with the Gi Group Privacy Statement. To view a copy and to help you understand how we collect, use and process your personal data please visit the Privacy page on our Gi Group website.

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