A leading financial services firm is seeking a Treasury Analyst to support its Group Treasury function. This role is ideal for a detail-oriented finance professional who thrives in a dynamic, fast-paced environment.
What’s on Offer?
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Hybrid working: 3 days in-office, 2 days WFH
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Career development opportunities
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Comprehensive benefits package
Key Responsibilities:
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Manage daily treasury operations, including cash flow forecasting and bank mandates
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Oversee liquidity management, funding, and financial transactions
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Support treasury systems, banking platforms, and process enhancements
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Ensure compliance with KYC, regulatory reporting, and internal controls
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Assist with debt management, derivatives, and financial risk analysis
Ideal Candidate:
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Treasury qualifications (ACT or similar) are advantageous
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Minimum 6 years’ experience in finance or corporate treasury (financial services preferred)
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Strong Excel skills (VBA, Power BI a plus)
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Experience with treasury management systems and ERPs
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Excellent communication and stakeholder management abilities
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Ability to work under pressure and meet deadlines
This is an excellent opportunity to join a growing financial services firm with strong future prospects. Apply today!