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Treasury Accountant

Job in Coventry, West Midlands, CV1, England, UK
Listing for: SF Recruitment
Full Time, Seasonal/Temporary, Contract position
Listed on 2026-01-11
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Reporting
  • Accounting
    Financial Analyst, Financial Reporting
Job Description & How to Apply Below

Treasury Analyst - Temp to Perm

Location:

Coventry, Ansty Park
Working pattern:
Hybrid (office-based with flexibility)

SF Recruitment are supporting a well-established organisation based in Coventry in the search for a Treasury Analyst on a temp-to-perm basis. This role will initially be offered as an interim assignment, with a clear intention to convert to a permanent position for the right person.

You'll join a collaborative treasury team and take responsibility for day-to-day treasury operations, cash flow forecasting and balance sheet control, while working closely with internal stakeholders and external banking partners. This is an excellent opportunity for someone who enjoys a hands-on treasury role and is looking to secure a long-term position within a stable, growing business.

Key Responsibilities
  • Monitoring and reporting daily bank balances across multiple currencies for two legal entities
  • Performing regular bank reconciliations and resolving discrepancies promptly
  • Managing daily liquidity, including transfers to overnight deposit accounts to optimise interest income
  • Processing manual payments, BACS runs, direct debits and maintaining payee templates
  • Supporting month‑end close through preparation and posting of general ledger journals
  • Maintaining and enhancing Excel‑based cash flow forecasts, including variance analysis
  • Managing stocking loans, including draw downs and repayments aligned to working capital needs
  • Preparing and reviewing balance sheet reconciliations and supporting variance analysis
  • Administering corporate credit cards, including journals and accruals
  • Liaising with internal teams and external banking partners to resolve day‑to‑day banking queries
  • Reviewing and updating treasury process documentation and identifying opportunities for process improvement
  • Raising sales invoices via automated dashboards and manual requests
  • Supporting accounts receivable activities including credit control, debt chasing and bad debt reviews
Requirements
  • Previous experience in treasury, accounts receivable or financial accounting
  • Strong Excel skills with high attention to detail
  • Confident managing bank reconciliations, payments and cash flow forecasting
  • Organised, proactive and able to manage deadlines effectively
  • AAT or ACCA part‑qualified is desirable

This role offers hybrid working and is ideal for someone looking to join initially on a contract basis, demonstrate value quickly, and transition into a permanent Treasury Analyst role.

If this opportunity is of interest, please apply or contact SF Recruitment for further details.

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