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Corporate Treasury Analyst

Empirical Search

Greater London

On-site

GBP 45,000 - 60,000

Full time

30+ days ago

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Job summary

A finance recruitment firm is seeking a Treasury professional in Greater London. The role involves cash flow forecasting, monthly reporting, and management of local entities’ requests. The ideal candidate should have 2-3 years of Corporate Treasury experience and a Bachelor's in Finance, Accounting, or Economics. Excellent attention to detail and critical thinking skills are essential for managing multiple tasks in a collaborative environment. It's a great opportunity for someone with a keen interest in Treasury.

Qualifications

  • 2-3 years of Corporate Treasury experience.
  • Treasury ACT or equivalent qualification would be beneficial.
  • Good IT literacy.

Responsibilities

  • Cash flow forecasting.
  • Monthly reporting.
  • Management of local entities’ requests.

Skills

Attention to detail
Critical thinking
Numeracy skills
Analytical skills
Communication skills

Education

Bachelor's in Finance, Accounting, Economics
Job description
Role Description
  • Cash flow forecasting
  • Monthly reporting
  • Management of local entities’ requests (bank accounts, funding, guarantees, Stand by Letter of Credit, FX)
  • Assist internally and externally with any Treasury Back Office related questions
  • Management of external & internal debt servicing
  • Management of bank authorities and ensuring accounts are up to date
  • Monitoring inter-company affiliate balances and provide with the monthly interest calculation to each subsidiary, managing all the intercompany loans documentation
  • Reconciliation of treasury-related balances and transactions ensuring that all deals are correctly recorded and information is well documented
  • Managing set up of daily treasury transfers
  • Group Daily Cash Reporting
  • Contribution to Treasury projects
Role Requirements
  • Bachelors in Finance, Accounting, Economics (Treasury ACT or equivalent qualification would be beneficial)
  • 2-3 years Corporate Treasury experience;
  • Excellent attention to detail
  • A keen interest in Treasury
  • Critical thinking skills
  • Good numeracy and analytical skills as well as IT literacy
  • Ability to thrive in a collaborative environment
  • Well-developed communication skills
  • Ability to handle multiple tasks under tight deadlines
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