EV Cargo Global Forwarding
Middlesex Cl, Southall UB1, UK
The Role We are seeking a driven and detail-oriented Cash & Working Capital Analyst (a role comparable to a Treasury Analyst) to join our UK Finance team within a leading global logistics organisation. This is a fantastic opportunity for a part-qualified finance professional to take ownership of cash flow forecasting, banking operations, working capital reporting, and financial controls within a dynamic, international environment. You'll work closely with senior finance stakeholders and play a key role in improving processes, supporting global teams, and ensuring strong financial governance. Key Responsibilities Cash & Treasury Management Manage daily cash positions and liquidity across UK entities Own and maintain the 13-week cash flow forecast Process and approve payments via HSBCnet and Barclays Act as the main point of contact with banking partners Working Capital & Reporting Monitor and report on working capital performance (AR, AP, cash)...