Are you ready to step into a dynamic and rewarding career in finance? Our client, a respected name in the fund sector, is seeking a Treasury Administrator to join their St Peter Port, Guernsey office. This is your chance to work within a forward-thinking, collaborative team and play a key role in managing treasury operations with a client-focused approach.
Key Skills
- Attention to Detail: Accuracy and precision are paramount when dealing with treasury functions and financial data.
- Problem-Solving Skills: Bring innovative solutions to ensure smooth and efficient operations.
- Organisational Ability: Manage multiple tasks and deadlines effectively, ensuring a seamless workflow.
- Team Collaboration: Thrive in a supportive and engaged team environment, contributing to shared success.
- Adaptability: Flexibility to navigate and prioritise shifting needs within the fund sector.
What You’ll Do
- Manage daily treasury operations, ensuring accuracy and compliance.
- Maintain stakeholder relationships with a professional and client-oriented approach.
- Reconcile accounts and resolve discrepancies efficiently.
- Assist with cash flow forecasting and reporting requirements.
- Support the wider team with administrative and financial tasks.
What You’ll Need
- A keen interest in finance and treasury operations.
- Strong skills in attention to detail, organisation, and communication.
- Ability to work independently as well as collaboratively with a team.
- A proactive and enthusiastic approach to problem-solving.
- Flexibility to adapt to the evolving demands of the fund sector.
Why Join?
- Be part of a reputable company within the thriving fund sector.
- Work in the picturesque and professional environment of St Peter Port, Guernsey.
- Gain valuable experience and career growth opportunities in treasury and financial management.
More information about this role is available upon request – contact the team today for further details.