Senior Treasury Analyst

Investigo

Leicester

On-site

GBP 55,000 - 75,000

Full time

8 hours ago
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Benefits offered by this job

Career progression
Multi-entity treasury exposure
Professional development opportunities

Job summary

Investigo is recruiting a Treasury Senior Analyst to own daily cash management and banking operations across multiple entities, ensuring strong cash visibility and robust controls. You will contribute to short-term cash forecasting and funding activities within a multi-currency environment.

You will manage a rolling 13-week cash flow forecast, reconcile positions, and support process improvements while working with various banking platforms.

Qualifications

  • Part-qualified or qualified accountant with treasury experience.
  • Hands-on cash management, banking operations and reconciliations.
  • Experience with multiple banking platforms and currencies is preferred.
  • Strong treasury controls, fraud prevention, and segregation of duties.
  • Ability to work independently across complex structures and stakeholders.
  • Process improvement mindset with a focus on automation andStandardisation.

Responsibilities

  • Maintain visibility of daily cash positions across bank accounts and channels.
  • Own and maintain a rolling 13-week cash flow forecast and analyse variances.
  • Execute and control fund movements within authorisation limits and dual controls.
  • Investigate unreconciled items and escalate issues where needed.
  • Support funding activities and prepare data for facility administration.
  • Contribute to treasury process improvements and standardisation.
  • Ensure treasury activities comply with policies, controls and governance.
  • Promote collaboration within the finance function and drive improvements.
  • Undertake additional duties as reasonably required.

Skills

Cash management
Banking operations
Forecasting & planning
Analytical skills
Excel & data analysis
Stakeholder management

Education

ACCA/CIMA/ACA or equivalent

Job description

A large, multi-site business is seeking an experienced Treasury Senior Analyst to take ownership of daily cash management and banking operations while supporting short-term cash forecasting and funding activities. This role plays a key part in ensuring strong cash visibility, robust financial controls, and effective treasury operations across multiple entities and banking platforms.

Key Responsibilities
  • Maintain visibility of daily cash positions across multiple bank accounts and payment channels, ensuring movements reconcile accurately to bank records.
  • Own and maintain a rolling 13-week cash flow forecast, updating forecasts regularly and analysing variances to identify potential risks and opportunities.
  • Execute and control fund movements across banking platforms in line with authorisation limits, delegated authorities, and dual-control requirements.
  • Investigate and resolve unreconciled items between bank statements and internal records, escalating issues where appropriate.
  • Support funding and financing activities by preparing data for facility administration, lender reporting, and related treasury requirements.
  • Contribute to process improvement initiatives, helping standardise and streamline treasury activities while reducing reliance on manual processes.
  • Ensure treasury activities are conducted in accordance with internal policies, controls, governance frameworks, and relevant regulations.
  • Promote collaborative working practices and support continuous improvement across the finance function.
  • Undertake additional duties as reasonably required.
Skills & Experience
  • Part-qualified or qualified accountant (ACCA, CIMA, ACA or equivalent), or significant treasury experience within a senior analyst role.
  • Strong treasury background with hands-on experience in cash management, banking operations, and reconciliations.
  • Experience working with multiple banking platforms and, ideally, within multi-currency environments.
  • Strong understanding of treasury controls, including payment authorisation processes, fraud prevention measures, and segregation of duties.
  • Ability to work independently across complex organisational structures and build effective relationships with banking partners and internal stakeholders.
  • Process improvement mindset, with experience identifying opportunities to automate, simplify, or standardise financial processes.
  • Strong analytical, organisational, and problem-solving skills.
  • Proficient Excel and systems skills, with the ability to manage and interpret financial data effectively.
What's on Offer
  • Opportunity to join a large and established organisation with a complex treasury environment.
  • Exposure to cash forecasting, banking operations, funding activities, and process improvement projects.
  • A collaborative finance team with opportunities for professional development and progression.
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