Senior Treasury Analyst – Front Office

Brewer Morris

Cambridge

Hybrid

GBP 90,000 - 120,000

Full time

3 days ago
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Benefits offered by this job

Hybrid working environment

Job summary

Brewer Morris is seeking an experienced Treasury professional to join the Front Office team of a global, FTSE-listed organisation. You will support FX exposures, liquidity management and investments, while contributing to balance sheet hedging and funding activities.

The role involves international stakeholder collaboration and driving automation and treasury transformation initiatives. The ideal candidate will have corporate treasury experience, exposure to FX risk management, and a strong

Qualifications

  • Experience within Corporate Treasury, ideally Front Office focused.
  • Exposure to FX risk management, hedging and liquidity management.
  • Experience within a large multinational organisation.
  • Understanding of financial markets, investments and treasury dealing.
  • Strong analytical and stakeholder management skills.
  • Passion for continuous improvement and treasury innovation.

Responsibilities

  • Support the management of global FX exposures and hedging activities
  • Assist with liquidity management and investment activities
  • Contribute to balance sheet hedging programmes
  • Support funding and Commercial Paper-related activities
  • Partner with stakeholders across an international business
  • Drive treasury process improvements and automation initiatives
  • Participate in treasury projects including systems, efficiencies and capital markets activities
  • Help shape the future development of a leading treasury function

Job description

An exciting opportunity has arisen for an experienced Treasury professional to join the Front Office team of a global, FTSE-listed organisation with a highly sophisticated treasury function.

This role offers the chance to work within a complex international environment, supporting treasury activities across foreign exchange risk management, liquidity, investments, funding and strategic treasury projects.

You will also contribute to ongoing treasury transformation initiatives, including automation and AI-driven improvements.

Key Responsibilities
  • Support the management of global FX exposures and hedging activities
  • Assist with liquidity management and investment activities
  • Contribute to balance sheet hedging programmes
  • Support funding and Commercial Paper-related activities
  • Partner with stakeholders across an international business
  • Drive treasury process improvements and automation initiatives
  • Participate in treasury projects including systems, efficiencies and capital markets activities
  • Help shape the future development of a leading treasury function
About You
  • Experience within Corporate Treasury, ideally Front Office focused
  • Exposure to FX risk management, hedging and liquidity management
  • Experience gained within a large multinational organisation
  • Understanding of financial markets, investments and treasury dealing
  • ACT, ACA, ACCA, CIMA or CFA qualified / studying towards qualification
  • Strong analytical and stakeholder management skills
  • Passion for continuous improvement and treasury innovation
What’s on Offer?
  • Exposure to a world-class treasury function
  • Significant international exposure
  • Treasury transformation and AI initiative
  • Excellent career development opportunities
  • Full professional qualification support
  • Hybrid working environment

Please note our advertisements use PQE/salary levels purely as a guide. However, we are happy to consider applications from all candidates who are able to demonstrate the skills necessary to fulfil the role.

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