Senior Finance Analyst - Watford, Hertfordshire, United Kingdom - TJX EUROPE
Description
We are part of the TJX Family which includes TK Maxx, and Homesense in Europe and the UK and across the rest of the world you will find us as TJ Maxx, Marshalls, HomeGoods, Sierra and Winners.
The European Treasury SFA role is integral in supporting the treasury team with the medium and long-term Cash Flow management for TJX Europe ensuring flexible cash management in line with TJX Europe strategic objectives.
Reporting to the Manager of European Treasury, the role requires an experienced professional with planning & consolidation background, strong analytical skills, critical thinking informal influencing and financial modelling skills who can quickly grasps the unique TJX Europe business model.
Consolidate, execute, analyse and present the long-term cash flow Forecast and Budget, by country for the European region. This entails the collection, analysis and interpretation of data into information whilst ensuring that the forecasts reflect the long-term strategic direction of the businessLiaise with peers in the Treasury team to ensure all different Cash Flows are aligned: short-term, 10 days and 6 weeks as well as with BP&A for the long-term Cash flow Forecast
Liaise with the wider Finance team in order to understand business trends and make sure this is reflected in the Cash Flows projections with a strategic mindset while building relationships with other teams
Responsible for variance analysis:
Actuals, Forecast and Budget and Risks & Opportunities
Monthly presentations to the senior TJX Treasury team: Rolling Plan and Budget (second half of the fiscal year) and quarterly presentations with Tax & Treasury
High frequency of Ad Hoc analysis and reports
Manage and maintain the Cash Flow models, drive efficiency, simplification, and standardization with financial modelling across the Treasury team
Maintain a keen interest in the Treasury environment, proactively assist the Manager Of European Treasury to drive efficiency and keep abreast of best practices
Participate in ad hoc Treasury cross functional projects
Backup the other Senior Treasury Operations Analyst and support the Treasury Manager in the team with the short-term Cash Flow Forecasting and other reports
Experience in analytical roles in Treasury or FP&A / BP&A with Cash Flow Forecasting
Experience working with consolidation systems such as Hyperion, TM1, working in multi-legal entities and multi-currency environments
Strong excel and financial modelling skills
Excellent communication and relationship skills - ability to communicate across functions and senior levels coupled with the ability to develop mutually beneficial working relationships
Active interest in financial markets and the macroeconomic environment
At TJX Europe we're committed to building an inclusive culture where all our associates feel welcome, valued and engaged.
It's the diversity of our associates that drives our success, and we welcome and encourage applications from everyone that wants to be part of our growing business.
We care about our culture, but we also prioritise the important things like competitive salaries, solid benefits and plenty of room to grow in your role.