The purpose of this role is to manage the day-to-day cash management, including cash forecasting, reconciliations, ensuring timely receipt of debtors and optimising investment income. Also the successful candidate will be taking a lead on all aspects of the department's work relating to cash, providing advice and support to the team and to internal clients as a senior member of finance team, and to support the Financial Controller, and other senior finance team members in their roles. The successful candidate will have the following: If that sounds like you, this may be the role for you! To apply, please follow: https://jobs.nationaltheatre.org.uk/job/financial-accountant-cash-and-treasury-5734671 The closing date for the receipt of a completed application is Friday 12th December at 12 noon. To apply, please follow: https://jobs.nationaltheatre.org.uk/job/financial-accountant-cash-and-treasury-5734671Job Summary
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