Treasury Analyst

London Permanent £50,000 - £60,000 per year View Job Description
This Treasury Analyst position is a key front-office role where you'll manage liquidity, execute trades, and navigate foreign exchange risks while collaborating with senior treasury leaders. This opportunity allows you to make a meaningful impact on financial operations and drive process improvements in a dynamic, fast-paced environment.
  • Front office focused with growth potential in a global company.
  • Flexible hybrid working and competitive salary with career development.

About Our Client

Our client is a global leader in their industry, known for delivering innovative solutions that enable businesses to streamline processes and drive growth. The company operates across multiple sectors, embracing digital transformation and operational efficiency. They value a culture of collaboration, inclusion, and professional development, making them an ideal environment for individuals looking to grow their careers within a supportive, fast-paced setting.

Job Description

The Treasury Analyst role offers an exciting opportunity to work closely with senior treasury leadership on key financial operations. You'll play a vital role in managing the company's liquidity, foreign exchange, and investment strategies, while contributing to innovative projects aimed at streamlining treasury processes. This position is ideal for someone with strong analytical skills, a collaborative mindset, and a drive for continuous improvement.

Cash Management

  • Execute daily cash flow activities, ensuring sufficient liquidity to meet the company's operational needs.
  • Support in developing cash management strategies by analysing cash forecasts, inter-company loans, and supplier payments, especially in relation to M&A transactions.
  • Manage cash flows and hedging requirements, providing critical support during mergers and acquisitions.



Risk Management

  • Assist in managing foreign exchange, interest rate, and liquidity risks, following treasury policies and contributing to future risk mitigation strategies.



Investment Management

  • Oversee the company's investment portfolio, ensuring it meets risk and return objectives while adhering to counter-party limits.
  • Continuously research and recommend new investment opportunities to enhance portfolio diversification.



Financial Planning and Analysis

  • Work with financial planning teams to integrate treasury forecasts into broader financial strategies, especially during large inflows or M&A activity.
  • Provide analysis of financial data and market trends to make informed decisions and recommendations regarding treasury activities.



Banking Relationships

  • Build and maintain strong relationships with key banking partners, ensuring efficient service and exploring new product offerings that align with long-term goals.



Compliance and Reporting

  • Ensure compliance with all treasury-related regulations and support reporting requirements, including quarterly treasury committee presentations.



Internal Loans

  • Manage internal loan portfolios, calculating interest rates in line with OECD guidance and repatriating interest on a monthly basis.
  • Maintain accurate records of loans and ensure timely refinancing and maturity monitoring.



Know Your Customer (KYC) Compliance

  • Oversee KYC processes with banking partners and explore ways to streamline this through centralised systems or third-party solutions.



Guarantee Management

  • Administer the issuance of guarantees, ensuring accuracy and efficiency throughout the process.

The Successful Applicant

  • Bachelor's degree in finance, accounting, or a related field.
  • Previous experience in front-office treasury or financial operations is preferred.
  • Strong attention to detail, with the ability to manage multiple tasks and execute trades accurately.
  • Proficiency in Excel and familiarity with treasury management systems or banking platforms.
  • Excellent communication skills, both written and verbal, with the ability to interact effectively with internal teams and external banking partners.
  • Collaborative team player who thrives in a fast-paced, dynamic environment.
  • Self-motivated with a proactive approach to taking on additional responsibilities and contributing to team development.
  • Proactive problem solver, focused on improving processes and enhancing operational efficiency in treasury activities.

What's on Offer

Our client offers a competitive salary ranging from £50,000 to £60,000 plus benefits package, as well as the opportunity to work in a hybrid environment that supports work/life balance. You will gain exposure to a wide range of treasury functions. You'll be part of a dynamic, inclusive team with access to ongoing learning and development opportunities.

Contact
Craig Perkins
Quote job ref
JN-102024-6560051
Phone number
+442072692354

Job summary

Job function
Treasury
Subsector
Treasury
Sector
Business Services
Location
London
Contract type
Permanent
Consultant name
Craig Perkins
Consultant phone
+442072692354
Job reference
JN-102024-6560051