Reporting to Property Treasury Manager, the Treasury Analyst will be responsible for managing the secured debt portfolio and supporting the release-of-charge process relating to the properties being sold.
On behalf of a large Housing Development company in London, we are recruiting a Treasury Analyst to work on their large property portfolio.
Posted by Michael Page Finance • £55K/yr to £60K/yr
We seeking a driven and determined self-starter to join our clients Group Treasury team in a diverse Treasury Analyst position.
Our client is a prominent figure in the property industry, managing a substantial portfolio across London.
The perfect candidate should excel in a demanding, high-speed setting, demonstrate a strong work ethic, and possess the ability to work both independently on tasks and collaboratively within a dynamic team.
Posted by Michael Page Finance • £45K/yr to £55K/yr
A great Treasury role encompasses the management of daily and monthly cash processes, ensuring prompt Treasury settlements, and acting as a vital independent check for Front Office operations.
The ideal candidate will drive innovative solutions for Treasury projects, handle audit requests seamlessly, and cultivate strong stakeholder relationships, delivering exceptional value and support to the organisation.
Our client is a prestigious property group with a rich heritage and a strong global presence.
Are you a diligent and proactive Treasury Analyst with experience with cash management and able to manage large Excel spreadsheets and datasets?
We are have an exciting opportunity for an Treasury Analyst to join the Group Treasury Function of a fast growing, PE owned, personal lines insurance broker.
Overview
The role contributes to the build of a central Treasury function, in a complicated and fast-growing group structure, supporting the Deputy Head of Treasury alongside a small team of Treasury professionals.
Posted by Michael Page Finance • £45K/yr to £52K/yr
A Senior Treasury Analyst opportunity that offers a path to leadership opportunities.
A pleasure to be recruiting a Senior Treasury Analyst to join the team for one of our clients based in Manchester.
You will collaborate with teams worldwide, gaining valuable international exposure while driving critical financial decisions, influencing the company's liquidity, and funding strategies.
Orka Financial are looking to recruit a motivated and analytical Graduate Finance Analyst to join their clients finance treasury team based in Bracknell.
This is a great opportunity for a recent graduate who has a passion for finance and has strong analytical skills, and a desire to develop a career in treasury.
The role will suit a logical thinker who enjoys problem-solving and is eager to take on new challenges within a fast-paced, collaborative environment.
Posted by Gleeson Recruitment Group • £30K/yr to £45K/yr
Our client, a global leader in their industry, is seeking an experienced Treasury Analyst to join their finance team.
Type: Full-time - Hybrid
This is a key role in managing the company's cash management systems and financial processes to ensure the efficient handling of bank accounts, payments, and financial forecasting.
As a growing and fast-paced business, they are currently seeking a Temporary Treasury Analyst to assist in a varied and interesting role as they approach a particularly busy period - likely to last for between 3-6 months.
This is an excellent opportunity for a skilled professional to contribute to a small but high-performing treasury team in a pivotal role.
Our client a fast growing, PE-backed property company based in London, with a portfolio spanning both commercial and residential properties across the UK and Europe.
I am currently working with an establish and well regarded brand in the insurance space, who are seeking an Treasury Analyst specifically experienced within the insurance syndicate space to join their growing London team in a newly created position.
The client is based in the City of London, work on a 3 in/2 WFH split and often some very competitive benefits as well as a generous cash bonus.
Responsibilities
Manage daily cash positioning and intercompany fund transfers across European entities.