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A leading global financial firm is seeking a Senior Treasury Analyst for their London office. This pivotal role involves overseeing liquidity risk and treasury processes, supporting financial reporting and audit functions. Candidates should have a strong background in finance and treasury with proficiency in analysis tools like Excel and Power BI. This is an excellent opportunity to advance in a dynamic corporate environment with significant responsibilities.
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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:
What They’re Looking For:
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.