Treasury Analytics Analyst (Hybrid)

Macquarie Bank Limited

Greater London

Hybrid

GBP 65,000 - 90,000

Full time

14 days+
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Benefits offered by this job

Wellbeing leave day
25 days annual leave
Parental leave (26 weeks)
Fertility leave
Volunteer leave & donation matching
Salary sacrifice options
Medical and life insurance

Job summary

Macquarie Bank Limited is seeking a Treasury analytics professional to shape capital and liquidity decision-making across EMEA. You will analyse data, forecast and support regulatory processes while collaborating with Group Treasury, Finance and Risk Management to deliver insights across a global organisation.

The role involves transforming complex datasets, enhancing forecasting accuracy and identifying opportunities for innovation in treasury management.

Qualifications

  • 1–4 years’ experience in treasury, finance, risk, accounting or related field.
  • Strong Excel skills and proficiency across MS Office applications.
  • Degree in finance, business, computer science, mathematics or related discipline.
  • Excellent communication and stakeholder management skills, with ability to balance priorities.
  • Interest in capital, liquidity and financial markets; experience in treasury, capital or liquidity management, Power BI, Alteryx or programming tools would be advantageous.

Responsibilities

  • Shape Treasury strategy and contribute to forecasting and regulatory processes.
  • Analyse data and translate insights into tangible outcomes.
  • Collaborate with groups across Group Treasury, Finance and Risk Management.
  • Support capital and liquidity initiatives and provide analytical solutions.

Skills

Treasury experience
Excel proficiency
Analytical thinking
Communication
Stakeholder management

Education

Finance/Business/CS/Math degree

Tools

Power BI
Alteryx
Programming tools

Job description

Macquarie Bank Limited is seeking a Treasury analytics professional to shape capital and liquidity decision-making across EMEA. You will analyse data, forecast and support regulatory processes while collaborating with Group Treasury, Finance and Risk Management to deliver insights across a global organisation.

The role involves transforming complex datasets, enhancing forecasting accuracy and identifying opportunities for innovation in treasury management.

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