Company: Jet2.com
Closing Date: "No Closing Date Stated"
Job Description Reporting to the Finance Manager - Treasury, the Financial Analyst will work in the Treasury Team and be responsible for the collation and manipulation of data to produce daily, weekly, monthly and ad hoc management information reports.
You will be responsible for the production of Treasury Management Information (MI), including relevant statistical analysis on the current hedge position, peer group analysis, liquidity and cash flow reporting, counterparty risk and the compilation of market data for Fuel, FX and Carbon.
You will also produce insightful reporting on booking methods for the business, comprising consumer payment behaviors, historical comparatives and variance analysis against the latest forecast. The provision of variance analysis against the latest 13 Week cash flow forecast and test the assumptions within those models is also key to the success of this role.
In addition, you will assist in the development of MI from the Treasury Management System (TMS) whilst also enhancing the current reporting from Reuters and other third party MI platforms.
The successful candidate will be highly numerate, analytical and proactive as well as having excellent attention to detail. You will have strong IT skills (particularly MS Excel and PowerPoint), be used to working in a dynamic environment working to tight timescales and have excellent communication skills. Any commercial financial analysis experience and economics or business qualifications is highly desirable.
In return, we offer an excellent salary and benefits package with fantastic opportunities for progression in a growing business. As well as being part of a vibrant company, our colleagues can also benefit from our Staff Travel Scheme.
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