JSS is seeking a Treasury Accountant to own the day-to-day treasury function, ensuring strong visibility and control over cash position, bank arrangements and hedge accounting activities. You will support liquidity management, treasury reporting, risk management and continuous process improvements across the Group, reporting to the finance leadership.
The role involves managing cash positioning, forecasting, FX exposure and engagement with banking partners, with a focus on IFRS hedge accounting
As a Treasury Accountant:
Cash Flow & FX Hedge Lead, you will play an important part at JSS in England, United Kingdom.
We aim to respond to suitable candidates as soon as possible.
Full responsibilities and requirements are described in the listing above.
Learn more about the Treasury Accountant:
Cash Flow & FX Hedge Lead role in the description above.
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