Reporting to the Director of Treasury and the Assistant Manager, you will play a key role in the daily operations and long-term development of our Group Treasury department.
This is an excellent opportunity for a motivated individual to grow their financial expertise within a thriving business environment.
Exciting opportunity for a Treasury Analyst to join a highly regarded company within their Finance team.
Key responsibilities include managing corporate treasury operations, cash flow analysis, and providing reports to senior financial stakeholders.
This role is ideal for candidates with a recognized accounting or treasury qualification, those nearing completion of one, or individuals qualified through experience.
An exciting opportunity has opened with a London market insurance business, who are currently recruiting for a Treasury Analyst to strengthen its London based Investment & Treasury department.
Reporting to the Senior Treasury Analyst, the successful applicant will support and take ownership of tasks in the Investment & Treasury team in all areas of Treasury and cash management for the Group.
Specifically, this will include maintaining cash flows, monitoring surplus cash balances, preparing weekly / monthly cash forecasts, monitoring surplus cash balances, weekly cash reports, maintaining the signatory mandates for cash and investments as well as any 'KYC' requests, bank reconciliations, month end reporting processes and liaising with the wider finance function for manual payments and prompt booking of receipts and any ad hoc responsibilities as required.
Equifind have teamed up with a leading investment bank that are experiencing some fantastic growth currently and need a treasury analyst to add to the team.
If you have a few years treasury experience or are interested in this space, then this could be the opportunity for you.
Due to this exceptional performance, the business is adding an extra head for the next 6 months to help with the cash management of the business.
I am currently partnering with renowned buyside firm, who are seeking an analyst to join their small but dynamic treasury ops team.
Focusing mainly on BAU to begin with but with the view that it will grow into a more senior role in time, the firm are looking for 2-4 years of experience within broad financial services with the biggest tick boxes being curiosity, ambition and keenness to develop a skill set in this space.
Responsibilities
Cash Management: Monitor and manage daily cash balances across multiple accounts and currencies, ensuring optimal liquidity and efficient use of funds.
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 £50K/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.