This is an opportunity with a market-leading, global company that has decades of experience in the entertainment industry, presenting an opportunity for employees to perfect their craft. Nevertheless, it maintains a fresh outlook on the working world as reflected by their hybrid working model and ambition to transform the industry.
They are looking for someone to aid the Head of Treasury in their current projects including M&A activities.
This role presents an engaging opportunity to work as part of a team and thus, allows candidates to refine their trade as they witness other procedures and methods. There is also a freedom to take initiative that can result in a real positive change to the company.
A strong candidate would be a diligent and hard worker that thrives when targeting results.
Key Responsibilities Include:
- Cash flow forecasting and financial analysis
- Providing M&A activities to the Treasury function
- Assist in loan refinancing project
- Assist in the reporting of periodic loan facilities
Requirements:
- AMCT or ACA/ACCA/CIMA qualified or studying
- Competency in all MS platforms (especially Excel)
- Experience within a Treasury function is desirable
- Useful to be available at short notice