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Key responsibilities there will include:
* Leading the preparation and monitoring of the capital programme, ensuring accurate and timely reporting
* Managing the council's treasury function, including cash flow forecasting and investment management
* Providing strategic financial advice to senior stakeholders, supporting decision-making and ensuring value for money
* Overseeing the production of statutory financial statements relating to capital and treasury
Hybrid role - will require 2 days a week in the office.
Original 6 months with an opportunity for extension