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Senior Treasury Analyst

JR United Kingdom

Kingston upon Hull

Hybrid

GBP 60,000 - 75,000

Full time

7 days ago
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Job summary

A leading financial services firm seeks a Senior Treasury Analyst for its growing Corporate Treasury function in London. The ideal candidate will have experience in liquidity risk management, with a strong background in finance. This role offers significant career growth opportunities, visible leadership support, and ownership from day one.

Qualifications

  • 2+ years’ experience in Treasury, Risk, or Finance function.
  • Strong academic background in Finance or Economics.
  • Confident communicator with ability to present to senior stakeholders.

Responsibilities

  • Leading production of daily and monthly treasury MI.
  • Developing liquidity risk framework and regulatory submissions.
  • Streamlining internal processes for operational efficiency.

Skills

Liquidity
Funding costs
FX and interest rate risk
Analytical mindset
Communication

Education

Finance, Economics or related degree

Tools

Excel
VBA
Power BI
Bloomberg
Python

Job description

Social network you want to login/join with:

Senior Treasury Analyst, kingston upon hull, east yorkshire

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Client:

ETRA Talent

Location:

kingston upon hull, east yorkshire, United Kingdom

Job Category:

Other

-

EU work permit required:

Yes

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Job Views:

2

Posted:

06.06.2025

Expiry Date:

21.07.2025

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Job Description:

Senior Treasury Analyst | Financial Services | London (Hybrid) | Up to £75,000 DOE

I'm working with a global financial services firm at the forefront of the commodities and trading space, currently looking to hire a Senior Treasury Analyst to join their growing Corporate Treasury function in London.

This is a fantastic opportunity for someone with strong treasury or risk experience looking to step into a high-impact role. You’ll work closely with the Treasury Manager to lead on liquidity risk management, FX/interest rate monitoring, and regulatory deliverables — all within a fast-paced and commercially-driven environment.

Key Focus: Liquidity & cash risk oversight, treasury MI reporting, stress testing, regulatory submissions, and automation of treasury processes.

The Role:

  • Leading the production of daily and monthly treasury MI, including liquidity forecasts, FX exposure reports, and regulatory stress testing.
  • Developing and maintaining the firm’s liquidity risk framework, including IFPR and ICARA contributions.
  • Working with Risk, Finance, and trading desks to enhance visibility and understanding of the business’ liquidity profile.
  • Automating and streamlining internal processes to improve operational efficiency within the treasury function.
  • Supporting internal and external audit processes and contributing to regulatory reporting.
  • Driving insight through data — using tools like Excel, VBA, Power BI and Bloomberg to support analysis.

What They’re Looking For:

  • 2+ years’ experience in a Treasury, Risk, or Finance function — ideally within a trading or financial services firm.
  • A strong academic background (Finance, Economics or related degree).
  • Analytical mindset with a proactive and commercially curious approach.
  • Confident communicator with the ability to work across teams and present to senior stakeholders.
  • Solid understanding of liquidity, funding costs, FX and interest rate risk.
  • Technical skills across Excel, VBA, Power BI, Bloomberg or Python.
  • Qualifications such as ACA, ACCA, CIMA, CFA or ACT (qualified or part-qualified) are a plus.

This is a brilliant role for someone looking to grow their treasury career in a dynamic, global organisation that values innovation and sharp thinking. You’ll have strong visibility, support from senior leadership, and real ownership from day one.

Sound interesting? Be sure to apply or feel free to reach out for a confidential chat.

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