Treasury Analyst 12 month Fixed Term Contract
Leading Property business
c.£45k + great benefits package
About my client
The company is committed to providing flexible workspaces globally and aims to achieve Net Zero emissions by 2040. They have received multiple accolades for their diverse and award-winning workforce.
What the role entails
The Treasury Analyst will support daily cash management, debt reduction, and liquidity improvement projects, while collaborating with the Treasury Manager to manage financial risks such as FX, interest rates, and liquidity. The role involves providing business unit support for internal funding, managing cash repatriation processes, ensuring Treasury policies are up-to-date, and assisting with key reporting and Treasury system optimisation. Additionally, the Analyst will lead or support Treasury projects as needed.
What they need from you
* ACA/ACCA part-qualified.
* 3-5 years of experience in global corporate treasury (multi-country).
* Strong knowledge of hedging, FX, and international cash management.
* Collaborative mindset and strong organisational skills.
* "Can-do" attitude and problem-solving approach
If this sounds of interest, please apply & you will be contacted if your profile is suitable.
CVs are to be sent to the client by 5pm Friday 14th February so be quick!