Treasury Assistant (Entry Level)

ATFX Connect

Greater London

On-site

GBP 30,000 - 40,000

Full time

14 days+

Get more replies from employers

Send a job-specific resume in minutes.

Job summary

ATFX Connect is seeking a Treasury Assistant in Greater London to join its treasury operations. This entry-level position offers the chance to work closely with experienced treasury professionals and support various cash management activities. Candidates should hold a degree in Finance or related fields, possess strong numerical skills, and be proficient in Microsoft Excel. The role may require flexibility in shifts and international travel. A competitive remuneration package is offered.

Qualifications

  • 0-2 years’ experience in finance, treasury, or financial services (desirable).
  • Basic understanding of reconciliations and cash movements.
  • Proficient in working with financial data.

Responsibilities

  • Support daily cash and liquidity activities across banks.
  • Assist with processing cash movements and reconciliations.
  • Maintain accurate documentation for internal controls.
  • Liaise with internal teams to support funding requirements.

Skills

Numerical skills
Attention to detail
Microsoft Excel
Communication skills
Organisational skills

Education

Degree in Finance, Accounting, Economics, Mathematics

Job description

This Treasury Assistant role is an entry‑level opportunity to join the day‑to‑day treasury operations of a regulated 24/5 FX/CFD broker. This role is ideal for someone looking to build a career in treasury within a fast‑paced, regulated financial services environment. The position focuses on operational execution, reconciliations, reporting, and control support, ensuring that cash movements and client money processes are accurate, timely, and fully compliant with regulatory and internal requirements. You will gain hands‑on exposure to global treasury operations across multiple currencies, banks, and legal entities, working closely with senior treasury professionals and a wide range of internal stakeholders.

Job Activities and Responsibilities
  • Support daily cash and liquidity activities across multiple banking relationships and currencies.
  • Assist with the processing of cash movements, including client deposits and withdrawals, counterparty payments, and intercompany transfers.
  • Perform daily bank and ledger reconciliations, identifying and escalating discrepancies promptly.
  • Support client money and segregation processes, including checks, calculations, and record‑keeping in line with FCA/CASS and other regulatory standards.
  • Maintain accurate documentation and audit trails to support internal controls, regulatory reporting, and audit requirements.
  • Assist with treasury control processes, including data validation, monitoring, and basic issue investigation.
  • Liaise with internal teams such as Operations, Finance, Risk, and Dealing to support funding and cash movement requirements.
  • Support the monitoring and upkeep of banking portals, payment platforms, and treasury systems, ensuring secure and appropriate use.
  • Provide general administrative and operational support to the Treasury team as required.
Qualifications and skills
  • Degree‑educated (or equivalent), ideally in Finance, Accounting, Economics, Mathematics, or a related discipline.
  • 0-2 years’ experience in a finance, treasury, payments, operations, or regulated financial services role (desirable but not essential).
  • Strong numerical skills with a high level of attention to detail and accuracy.
  • Basic understanding of reconciliations, cash movements, and financial controls.
  • Proficient in Microsoft Excel and comfortable working with financial data.
  • Well‑organised, reliable, and able to work effectively within structured processes.
  • Strong written and verbal communication skills, with confidence escalating issues appropriately.
Requirements
  • Understand and appreciate the dynamics of a 24/5, "follow the sun" global coverage needs. Flexibility in hours and shifts is a must.
  • Position may evolve from 24/5 to a 24/7 global coverage depending on business needs. Standard total hours per week will not change, but may require shifts.
  • International travel for up to 2 weeks at a time.

We offer an exciting career opportunity and competitive remuneration to the successful candidate.

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Treasury Assistant
Treasury Assistant

Morgan McKinley • Greater London

Hybrid
GBP 30,000 - 50,000
Hybrid working
Benefits package
Career progression
Treasury Accountant
Treasury Accountant

CDW UK • Greater London

On-site
GBP 50,000 - 70,000
Treasury Officer – Permanent – Banking – London – Job Ref: 26048
Treasury Officer – Permanent – Banking – London – Job Ref: 26048

Howard Lock Consulting Ltd • Greater London

On-site
GBP 55,000 - 90,000
Treasury Analyst
Treasury Analyst

Elevation Recruitment Group • East Cowick

On-site
GBP 32,000 - 42,000
Annual leave
Pension scheme
Private medical insurance
+3
Treasury Analyst
Treasury Analyst

Marks Sattin Ltd • Doncaster

Hybrid
GBP 38,000 - 54,000
Hybrid and flexible working
Generous holiday allowance
Pension scheme
+6
Head of Treasury Operations
Head of Treasury Operations

Richard James Recruitment Specialists Ltd • Greater London

On-site
GBP 120,000 - 160,000
Treasury Analyst - entry level - front office exposure
Treasury Analyst - entry level - front office exposure

Michael Page • City Of London

On-site
GBP 32,000 - 39,000
NEW JOB *** Assistant Manager, Operation
NEW JOB *** Assistant Manager, Operation

Wintermann Search • Greater London

On-site
GBP 26,000 - 38,000
FTC Treasury Dealer
FTC Treasury Dealer

Leapfrog Recruitment Consultants • Daliburgh

On-site
GBP 55,000 - 85,000
Treasury Analyst
Treasury Analyst

CFC • London

On-site
GBP 45,000 - 60,000