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Treasury Analyst: Cash Forecasting & Risk; Hybrid
Job Description & How to Apply Below
Pertemps Thames Water in Reading is seeking a Treasury Analyst to support front-office liquidity management for a group with substantial debt and derivatives exposure. The role involves cash forecasting, risk analysis, and process improvements within a hybrid working pattern.
You will work with the Treasury team to ensure accurate recording, reporting, and compliance, while engaging with external stakeholders and contributing to strategic treasury direction.
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