Treasury Analyst
4 days ago
**About Columbia Threadneedle Investments**
You'll find the promise we make to our clients is the same one we make to our employees**:Your success is our priority.**
Here, you'll find growth and career opportunities across all our businesses. We're intentionally built to help you succeed. Our reach is expansive with a global team of 2,000 people working together. Our expertise is diverse with more than 450 investment professionalssharing global perspectives across all major asset classes and markets. Our clients have access to a broad array of investment strategies and we have the capability to build tailored solutions matched to clients' specific requirements.
We appreciate that work-life balance is an important factor for many when considering their next move so please discuss any flexible working requirements directly with your recruiter.
**Job Purpose Statement**
The role is to perform analysis of all daily and non-daily Columbia Threadneedle Treasury Operations activities including but not limited to public company Treasury functions
**Role Responsibilities**
**How you'll spend your time**
Columbia Threadneedle Treasury Operations activities including but not limited to public company Treasury functions such as daily cash management, banking operations, treasury centralization, bank relationship management, bank account governance, cash forecasting.
In addition, incumbent will work with Treasury Manager(s) in evaluating technical and analytical projects to streamline banking structure and daily operations, enhance the use of Treasury management system technology, participate in cross-functional Financeprojects as necessary and serve as a Treasury Representative within the company as appropriate.
Performs special requests as directed from the Treasury Manager(s), Director(s) and/or VP of Treasury Operations as well as other individuals, departments, or business units in solving Treasury-related issues.
**Daily Operations Specific**:
Primary responsibility is to administer the daily cash positioning for all corporate accounts. This includes all necessary cash forecasting, file processing, review of outputs for reasonableness and accuracy, communication of those outputs throughout the dayto internal business partners. Incumbent will also cross train for all related cash management functions to serve as an effective backup when needed.
In additional, incumbent will work with Treasury Manager to develop and implement technical and analytical projects to streamline banking structure and daily operations as well as enhance the use of Treasury management system technology. Work with our bankingpartners to ensure all our documentation is kept up to date.
**Key Capabilities**
**To be successful in this role you will have....**:
- Knowledge of cash flow theory, cash management, custody and/or banking operations preferred.
- Assists in developing and performing according to personal goals, objectives, and annual accountabilities
- Education: Good A-levels, Degree or AMCT is an advantage
- Experience: Professional with 2-3 years Treasury experience exhibiting stronger analytical positions throughout. Experience with processing of Global financial transactions, cash forecasting and positioning and all related terminology preferred. Workingknowledge of Treasury Workstations is beneficial.
- Must possess advanced technical skills in Microsoft Office (Excel, Access, and Word)
- Attention to detail and deadline oriented is a must.
- Requires strong interpersonal and communication (oral and written) skills to deal effectively with internal business partners.
**Desired Capabilities**
See JD
-
Treasury Analyst
2 days ago
Swindon, United Kingdom Edenred France Full timeFaites un pas en avant et laissez-vous surprendre par Edenred. Chaque jour, nous fournissons des solutions innovantes pour améliorer la vie de millions de personnes, en connectant les employés, les entreprises et les commerçants dans le monde entier. Nous savons qu'il y a des centaines de façons pour vous d'évoluer. Avec nous, vous développerez vos...
-
Senior Treasury Analyst--modelling
1 week ago
Swindon, United Kingdom Lorien Full timeThere is an exciting opportunity to join the Modelling & Analytics team as a Senior Analyst within Framework and Modelling, Treasury. The Framework & Modelling team play a crucial role in helping ensure Nationwide's financial risks are managed appropriately to maintain the long-term stability of the Society whilst providing our members with the products...
-
Settlement Analyst
1 week ago
Swindon, United Kingdom Kate John Associates Limited Full timeWe are recruiting for a brilliant business in Swindon who are growing fast. The company is looking for a Settlements Analyst to cover an internal secondment on a Fixed Term Contract basis for a minimum period of 6 months. The Settlement Analyst is a keyrole within the PPS Finance function, supporting the delivery of business-critical activities. This role...
-
Stores Cash and Card Receipts Analyst
2 weeks ago
Swindon, United Kingdom WHSmith Full time**UK Stores Cash and Card Receipts Analyst** We are looking for an enthusiastic individual to join our team in Swindon. The role is responsible for reconciling Cash Bankings, Change Deliveries and Card receipts for half of our UK store estate. **Key Responsibilities**: - Weekly reconciliations of Stores cash bankings, Stores change deliveries, Stores Debit...
-
Uk Stores Cash and Card Receipts Analyst
6 days ago
Swindon, United Kingdom WHSmith Full time**UK Stores Cash and Card Receipts Analyst** Swindon (3 office days, 2 work from home) We are looking for an enthusiastic individual to join our team in Swindon. The role is responsible for reconciling Cash Bankings, Change Deliveries and Card receipts for half of our UK store estate. **Key Responsibilities**: - Weekly reconciliations of Stores cash...
-
Cash Management Support Administrator
1 week ago
Swindon, United Kingdom Catalent Full time**Catalent Pharma Solutions** are seeking to recruit a **Cash Management Support Administrator**at our **Swindon **facility. As the Cash Management Support Analyst you will be supporting the corporate treasury team with cashflow forecasting for shared services team involving all incoming and outgoing payments, Also responsible for supporting cash...