Cash & Treasury Accountant

Gleeson Recruitment Group are exclusively supporting an international manufacturing organisation with the appointment of a Cash & Treasury Accountant. This is an excellent opportunity for an experienced finance professional who enjoys combining cash management, forecasting, financial analysis, and stakeholder engagement within a complex business environment.
Working closely with senior finance leadership and operational teams, you will play a key role in optimising cash performance, improving working capital, and delivering high-quality financial insight to support business decision-making.
The Role
This is a highly visible position with responsibility for overseeing cash reporting, forecasting, and treasury-related activities across several UK entities.
Key responsibilities will include:
About You
We are interested in speaking with qualified finance professionals who combine strong technical accounting knowledge with excellent analytical and communication skills.
You will ideally have:
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