Junior Treasury Analyst

PetroChina International (Netherlands) Company B.V.

Greater London

On-site

GBP 32,000 - 42,000

Full time

4 days ago
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Benefits offered by this job

Private Medical
Dental and Travel Insurance
Life Assurance
Annual Gym Allowance
Contributory Pension Scheme
25 days annual leave
Discretionary Bonus

Job summary

PetroChina International (Netherlands) Company B.V. in London, UK, is seeking a Junior Treasury Analyst for a 12-month fixed-term contract in the Finance department. The role requires location in London with a full-time schedule and four days per week in the London office.

You will manage daily cash positions, assist in cash flow forecasting data, process manual payments, and support liquidity, funding, and currency risk activities while collaborating across departments.

Qualifications

  • Degree in Finance/Banking/Commercial/Treasury or equivalent.
  • Analytical, organization, and interpersonal skills.
  • Advanced spreadsheet and modeling skills.
  • Advanced Excel and financial modeling experience.
  • Excellent collaboration, verbal and written communication skills.
  • Attention to detail and accuracy.
  • Interested in process improvement.
  • Willing to adapt quickly to quick changes in direction.
  • Internally motivated to seek out answers, generate ideas, and develop new skills.
  • Preferably knowledge of treasury activities and markets.
  • Mandarin speakers preferred.

Responsibilities

  • Managing the daily cash position, including monitoring the position during the day and liaising with banks for receipts.
  • Ensuring forecast data accuracy by coordinating with internal departments.
  • Process manual payments as required.
  • Execute transactions as part of liquidity, cash and currency risk management.
  • Transact money market deposits and other approved investments.
  • Arrange import financing transactions/discounting and book in internal systems.
  • Support other treasury and trade finance activities.

Skills

Finance degree
Analytical skills
Advanced Excel
Cash flow forecasting
Communication skills
Attention to detail
Process improvement
Mandarin

Education

Finance/Banking/Treasury degree

Job description

Junior Treasury Analyst

Application Deadline: 16 October 2026

Department: Finance

Employment Type: Fixed Term - Full Time

Location: London, UK

Description

This role sits within a busy Finance department and the successful individual will be responsible for management of a wide variety of Treasury tasks. This is a 12 month fixed-term contract position.

Key Responsibilities
  • Managing the daily cash position, including monitoring the position during the course of the day, following up internally regarding expected movements, liaising with banks regarding expected receipts of funds, pooling and sweeping between accounts held with various banks and arranging funding as required (spot and hedge)
  • Liaising with other internal departments to ensure that the data in systems used for cash flow forecasts is accurate
  • Process manual payments.
  • Execute transactions as part of company’s liquidity, cash and/or currency risk management
  • Transact money market deposits and other approved investments
  • Liaise with internal and external counterparties and arrange Import financing transactions/ discounting including booking of these transactions in internal systems
  • Support other treasury and trade finance activities.
Skills, Knowledge and Expertise
  • Degree in Finance/Banking/Commercial/Treasury or equivalent
  • Analytical, organization, and interpersonal skills
  • Advanced spreadsheet and modeling skills
  • Advanced Excel and financial modeling experience
  • Excellent collaboration, verbal and written communication skills
  • Attention to detail and accuracy
  • Interested in process improvement
  • Willing to adapt quickly to quick changes in direction
  • Internally motivated to seek out answers, generate ideas, and develop new skills
  • Preferably has a general knowledge of other financial instruments traded on the interest rate, currency and commodities markets
  • Preferably experience working in a prop trading room of a bank
  • Preferably experience in preparing cash forecasts and cash flow analyses and payment processing
  • Analytically minded
  • Preferably Knowledge of all treasury activities
  • Mandarin speakers preferred
Benefits

This role offers a competitive salary (commensurate with experience), plus a comprehensive benefits package, including Private Medical, Dental and Travel Insurance cover, Life Assurance, Annual Gym Allowance, Contributory Pension Scheme, 25 days annual leave, Discretionary Bonus, and more.

  • competitive salary (commensurate with experience)
  • Private Medical
  • Dental and Travel Insurance cover
  • Life Assurance
  • Annual Gym Allowance
  • Contributory Pension Scheme
  • 25 days annual leave
  • Discretionary Bonus
  • and more

This is a full-time position, with the successful candidate being required to attend the London office 4 days per week.

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