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Senior Treasury Analyst

Banking & Financial Services

City Of London

Hybrid

GBP 50,000 - 70,000

Full time

10 days ago

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Job summary

A leading financial services firm in London is seeking a Senior Analyst – Treasury to manage financial market risks and support hedging strategies. This hybrid role requires a qualified accountant and offers the opportunity to work with financial systems and large datasets. The ideal candidate will excel in stakeholder management and have a strong understanding of financial markets. Competitive salary and no visa sponsorship offered.

Qualifications

  • Qualified accountant with relevant certifications.
  • Experience in a corporate environment with financial market exposure.
  • Ability to work with large datasets and drive process improvements.

Responsibilities

  • Support the design and execution of the Group’s FX hedging strategy.
  • Manage commodity price risk using derivative instruments.
  • Develop interest rate risk management strategies.
  • Enhance short-term cash forecasting accuracy and liquidity planning.
  • Provide market analysis and reporting to inform stakeholders.
  • Ensure compliance with IFRS 9 and risk management policies.

Skills

Qualified or part-qualified accountant (ACA, ACCA, CIMA)
Strong understanding of financial markets
Experience with FX and commodity hedging
Excellent stakeholder management skills

Education

ACT qualified Treasury professional
Job description

Senior Analyst – Treasury

Location: London (Hybrid)
Contract type: Permanent

About the role
We’re looking for a commercially minded Senior Finance Analyst to join our Treasury function, supporting the management of the Group’s financial market risks and funding strategy. This is a highly visible role working across FX, commodities, interest rate risk and liquidity, with regular interaction with the wider finance teams.>

You’ll play a key role in designing and executing the Group’s hedging and investment strategies, helping to protect the business against external market volatility while optimising financial performance.

Key responsibilities
  • Support the design and execution of the Group’s FX hedging strategy (USD, EUR and other currencies), ensuring alignment with budget and forecast exposures.
  • Manage commodity price risk through appropriate derivative instruments and counterparty structures to reduce volatility.
  • Develop and implement interest rate risk management strategies for Group debt and revolving facilities, covenant compliance, PPAs, IFRS 9, and hedge accounting.
  • Partner with finance and operations to enhance short-term cash forecasting accuracy and liquidity planning, ensuring optimal deployment of surplus cash.
  • Provide insightful market analysis and reporting on FX, interest rate and commodity developments to inform senior stakeholders and drive decision-making.
  • Support the accounting and reporting of hedge relationships, ensuring compliance with IFRS 9 and internal risk management policies.
About you
  • Qualified or part-qualified accountant (ACA, ACCA, CIMA)
  • ACT qualified Treasury professional is a bonus but no essential
  • Experience working in a complex corporate environment with exposure to FX and commodity hedging is advantageous.
  • Strong understanding of financial markets, derivatives, PPAs/VPPAs, and hedge accounting principles.
  • Comfortable working with large data sets, financial models, and treasury systems to drive process improvements.
  • Excellent stakeholder management skills and ability to communicate technical financial concepts to non-finance colleagues.
Please note: This role does not offer visa sponsorship. Candidates must have the right to work in the UK.
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