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Treasury Analyst

J Murphy & Sons

Greater London

On-site

GBP 45,000 - 60,000

Full time

Today
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Job summary

A leading engineering company is seeking a Treasury Analyst to join their Group Finance Team in London. This role involves managing cash and liquidity, supporting reporting processes, and coordinating FX planning across international locations. The ideal candidate will be a qualified ACA/ACCA/CIMA with strong finance experience, cash management skills, and proficiency in Excel, preferably with knowledge of Power BI. Join a company committed to employee development and a collaborative work environment.

Qualifications

  • Qualified accountant with ACA/ACCA/CIMA or studying towards ACT.
  • Proven experience in treasury or finance role.
  • Excellent skills in cash management and FX operations.

Responsibilities

  • Manage cash and liquidity effectively.
  • Support monthly cash and reporting processes.
  • Coordinate FX planning across Group entities.

Skills

Cash management
Communication skills
Excel skills
Stakeholder management
Communication skills

Education

Qualified ACA/ACCA/CIMA
ACT qualified or studying towards ACT

Tools

Power BI
Treasury systems
Job description
Overview

Murphy is recruiting for a Treasury Analyst to work within their Group Finance Team in London. Operating in the United Kingdom, Ireland, Canada and the USA, Murphy provides better engineered solutions to infrastructure sectors including transportation, water, power and natural resources. So that our teams out on projects can run smoothly it is vital that we have robust support functions in place. We are committed to fostering an engaging and collaborative work environment in which each person’s career is nurtured and developed. We focus on employee development, providing a culture of innovation and positive work-life balance.

Responsibilities
  • Cash & Liquidity Management
  • Support daily, weekly and monthly cash and interest reporting
  • Assist in the planning and execution of deposit strategies, including term placements and liquidity forecasting. Maintain the Group cash forecast collating information from UK, Ireland, Canada, US and Australia to support Group liquidity planning
  • Coordinate FX planning and execution across Group entities
  • Support intercompany loan management and funding arrangements
  • Maintain UK Payment System oversight and support banking control processes
  • Oversee bank reconciliation processes and review outputs
  • Manage intercompany loan reconciliations and resolve discrepancies
  • Maintain and update the monthly bond schedule
  • Distribute the updated monthly bond schedule to the UK Commercial Director, ensuring timely visibility of current positions and changes
  • Prepare and enhance treasury dashboards for monthly MI
  • Support covenant reporting and ensure compliance with financial agreements
  • Assist in system upgrades (e.g. PTX) and testing coordination
  • Contribute to international treasury integration, ensuring that Joint Ventures (JVs) and Jointly Controlled Entities (JCEs) are supported with appropriate funding, reporting, banking coordination, and bonding/surety arrangements, while maintaining alignment with Group treasury standards and controls
Qualifications
  • Qualified ACA/ACCA/CIMA, ACT qualified or studying towards ACT
  • Proven experience in a treasury or finance role, ideally within a group or multinational environment
  • Strong understanding of cash management, FX, and banking operations
  • Excellent Excel and reporting skills; preferably Power BI and data warehouses
  • Experience with treasury systems is a bonus
  • Strong communication and stakeholder management skills
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