About this role
Treasury Analyst- Operations & Cash Management at Haleon. Location: London, England, United Kingdom. Role: managing cash, reconciling cash, supporting settlements Requirements: Supports daily treasury operations, global cash management, liquidity analysis, settlements and reconciliations; experience with TMS/ERP; financial qualification (CIMA/ACCA/ACT/CFA) or equivalent; strong numerical, control and communication skills. Category: Finance and Accounting Seniority: Mid Level Tools: TMS, ERP Certifications: cima, acca, amct, mct, cfa, act Commitment: Full Time Workplace: Onsite Languages: English