Treasury Analyst – Cash, Hedging & Strategy (Hybrid)

Saga Group

Sandgate

Hybrid

GBP 30,000 - 36,000

Full time

12 days ago

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Job summary

Saga Group is seeking a Treasury Analyst to join our finance team in a hybrid role based in Folkestone. You will help protect the company’s financial health by mitigating risk, safeguarding assets and optimising returns within our treasury function.

The role sits in a central Treasury team that handles cash, debt, currency hedges and investment strategy, with stakeholders across the Group and external lenders and auditors. Hybrid work includes home and office in Folkestone and Kent region.

Responsibilities

  • Look after the financial health of the organisation by mitigating risks, keeping assets safe and returns optimised.
  • Treasury manages cash, debt, currency and commodity hedges and investment strategy.
  • Works with internal stakeholders across the Group and external lenders and auditors.

Job description

Saga Group is seeking a Treasury Analyst to join our finance team in a hybrid role based in Folkestone. You will help protect the company’s financial health by mitigating risk, safeguarding assets and optimising returns within our treasury function.

The role sits in a central Treasury team that handles cash, debt, currency hedges and investment strategy, with stakeholders across the Group and external lenders and auditors. Hybrid work includes home and office in Folkestone and Kent region.

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