Current jobs related to Treasury Analyst - London - Marks Sattin
-
Treasury Analyst
2 days ago
London, Greater London, United Kingdom SCJ EurAfne Ltd Full timeTreasury Analyst Front OfficeLocation: Frimley, SurreyFunction: Shared Service Centre TreasuryWe do not offer relocation support for this roleHere at SC Johnson Ltd, we have an opportunity for someone who has experience from a corporate Treasury background and who wants to build their career as a Treasury Analyst/Trader in our Front Office team based in...
-
Treasury Analyst
1 day ago
London, United Kingdom High Finance (UK) Limited TA HFG Full timeA multi national insurance business are looking for a Treasury Analyst to join their finance operations team on a permanent basis. The main responsibilities of this Treasury Analyst will include: - Initiate payments for day to day transactions via BACS, wire, ACH, etc. with the aim of reducing bank charges whilst maintaining transaction efficiency. -...
-
Treasury Analyst
1 week ago
London, Greater London, United Kingdom Trace – Expert Accountancy Recruitment Full timeGet AI-powered advice on this job and more exclusive features.Trace – Expert Accountancy Recruitment provided pay rangeThis range is provided by Trace – Expert Accountancy Recruitment. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.Base pay rangeDirect message the job poster from Trace – Expert...
-
Treasury Analyst
2 hours ago
London, Greater London, United Kingdom Trace – Expert Accountancy Recruitment Full timeGet AI-powered advice on this job and more exclusive features.Trace – Expert Accountancy Recruitment provided pay rangeThis range is provided by Trace – Expert Accountancy Recruitment. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.Base pay rangeDirect message the job poster from Trace – Expert...
-
Treasury Analyst, Group Treasury
1 week ago
London, Greater London, United Kingdom Rapali S.A. - Mosablock Full timeJoin to apply for the Treasury Analyst, Group Treasury role at Rapali S.A. - MosablockREF: RI53630Industry: RenewablesEmployment Type: PermanentLocation: LondonSalary Guide: £45,000 - £50,000 + BenefitsDescriptionResponsibilities for the Treasury Analyst, Group Treasury will include but are not limited to:Prepare treasury reports for senior...
-
Treasury Analyst
4 days ago
London, United Kingdom Communicate Recruitment Solutions LTD Full timeA well-known Financial Services business is looking to add a Treasury Analyst to their team. This is a great opportunity to work in an impressive Treasury function that will encourage growth. It is a London based office with a great atmosphere, the successful applicant will be surrounded by a Treasury team that is full of impressive individuals, a great...
-
Treasury Analyst
3 days ago
London, United Kingdom Leo & McKenzie Recruitment Ltd Full timeA Leading Real Estate PLC in London require a Treasury Analyst. The role is permanent with 4 days working in the office and one day from home. JOB TITLE Treasury Analyst REPORTING TO Treasury Manager - Operations JOB SUMMARY **MAIN RESPONSIBILITIES**: 1 Execute cash management of the Group including intercompany transfers, topping up cash pools, Debt...
-
Operational Treasury Analyst
1 week ago
London, United Kingdom Cedar Full timeOperational Treasury Analyst Starting salary £50,000 Permanent, Full time role London, West End Office based role 8.30am to 6.00pm Reporting to Head of Operational Treasury We have partnered with a fast-expanding global risk and treasury business who are looking for a proven Operational Treasury Analyst to join their busy team. The Operational...
-
Treasury Business Analyst
6 hours ago
London, United Kingdom eFinancialCareers Full timeLooking for a **Treasury Business Analyst** to support the implementation of a TMS finance system. - Business Requirements elicitation, documentation and explanation, working closely with business stakeholders and project colleagues - Production of Functional Specifications suitable for users and IT development teams consumption providing a pathway for...
-
Treasury Analyst
1 day ago
London, United Kingdom Sanderson Full timeAn international retailer is seeking to appoint a Treasury Analyst to report into the Assistant Treasurer. This role undertakes day to day Treasury activities including daily cash management, inter-company funding, risk management and dealing in the financialmarkets. **Key responsibilities**: - To prepare Treasury reports on timely basis - Prepare and...
Treasury Analyst
2 weeks ago
**Treasury Analyst - London**
Seeking a Treasury Analyst for a transport company based in central London that are seeking someone on an initial 6 month contract coming into the office on a hybrid basis.
**Responsibilities**:
- Support the Head of Treasury with the preparation and maintenance of cash flow forecasts.
- Daily update and management of short-term cash position
- Efficient liquidity management to enable investing surplus cash in bank deposits.
- Help in identifying improvements in liquidity management process.
- Pro-actively work with the commercial, tax, finance and accounting teams to understand cash flow requirements.
- Maintain debt and interest rate hedging schedules, including interest calculations and payments.
- Arrange and maintain inter-company funding and netting.
- Review vendors' payment runs from a treasury perspective to ensure availability of funds and obtain appropriate approvals(s)
- Identify currency requirements, exposures and conduct FX trades
- Input and coordinate the release of treasury payments (e.g. dividends, and debt related)
- Develop, prepare and maintain daily & monthly liquidity/treasury reports.
- Collaborate with the Accounting team to support them to correctly account for treasury transactions and month end close.
- Act as one of the admins for online portals, treasury management system (TMS), and corporate credit cards
- Act as the main KYC point of contact and provider of data for banks and lenders
- Communicate with banks as and when required to facilitate the smooth running of the function
- Support on a variety of treasury projects and provide support to senior management. This may include refinancing, improving technology and processes, developing cash pooling and cash management techniques.
**Essential**:
- Minimum 3 years of Treasury experience.
- Experience with Kyriba TMS is highly desirable.
- Microsoft Excel and PPT proficiency
- Experience working with different online banking platforms, ERP / Accounting systems.
- Cash management / cash forecasting experience gained in a corporate treasury environment.
- Highly numerate and analytical, with strong personal standards and attention to detail to ensure the highest level of accuracy in all aspects of output.
- Strong interpersonal skills including logical thinking and problem solving skills
- Able and comfortable to communicate clearly across all levels of the organisation as well as with third parties.
- Dynamic and proactive with the ability to operate effectively as part of a small team.
- Ability to manage multiple priorities and make pragmatic decisions to ensure deadlines are met.
- Excellent time management and organization skills.