Treasury Analyst - Financial Services - TWE43948

🔒 Confidential Employer
Posted 21 March 2026
LOCATION
London
TYPE
Full-time
LEVEL
Associate
SALARY
£60,000 / year
CATEGORY
Finance
This employer holds a UK Home Office sponsor license — sponsorship for this specific role is at the employer’s discretion

SKILLS

Cash Management Payment Processing Financial Controls ERP Systems Excel Data Tools Analytical Mindset Reconciliation Skills

FULL DESCRIPTION

Tasks: Support daily cash operations and strategic treasury initiatives in a dynamic finance environment.

Company: Leading financial services business with a focus on innovation and efficiency.

Benefits: Competitive salary, professional development opportunities, and a collaborative work culture.

Why this job: Make a real impact on cash management and treasury processes while growing your skills.

Qualifications: Strong knowledge of cash management and familiarity with ERP systems required.

Other info: Join a fast-paced team with opportunities for career advancement and personal growth.

Treasury Analyst - Financial Services - TWE43948 in London

[Employer hidden — view at passion-project.co.uk] are supporting a leading financial services business. They are seeking a detail-oriented and proactive individual to support daily cash operations, forecasting, reporting, and strategic treasury initiatives. This role plays a key part in ensuring optimal liquidity, efficient cash management, accurate reconciliation, and the ongoing development of treasury processes and controls. The Treasury Analyst will be comfortable with both routine cash operations and project-based work in a dynamic finance environment.

Key Responsibilities:

  • Review prior-day bank activity and update daily cash position (inflows vs outflows).
  • Perform initial and ongoing bank reconciliations, resolving variances with internal teams.
  • Update short-term rolling cash forecasts and reconcile actuals vs projections.
  • Coordinate with AP/AR to support timely disbursements and collections.
  • Monitor liquidity needs, FX, intercompany transfers, and short-term investment activity.
  • Initiate, review, and release treasury-related payments (MMFs, Interco, FX).
  • Respond to internal inquiries and escalate issues with banks or treasury systems as needed.
  • Allocate time to strategic ad hoc projects (process improvement, system upgrades, automation).
  • Dedicate time to professional development including market trend research and certification study.
  • Support month-end close with final bank reconciliations and GL postings.
  • Confirm closing cash balances and compare with budget vs actuals.
  • Prepare monthly interest income reports and reconcile cash between systems (e.g., NetSuite & OneStream).
  • Prepare and distribute Treasury Committee packs with key insights and updates.
  • Participate in half-yearly liquidity and covenant compliance reporting.
  • Monitor KPIs and maintain treasury dashboards for leadership visibility.

Required skills and experience:

  • Strong knowledge of cash management, payment processing, and financial controls.
  • Familiarity with ERP systems (e.g., NetSuite) and Treasury Management System (Kyriba).
  • Advanced Excel; exposure to data tools (e.g., Power BI).
  • Analytical mindset with attention to detail and excellent reconciliation skills.
  • Ability to prioritise tasks in a fast-paced environment with evolving responsibilities.
  • Comfortable communicating with both internal stakeholders and external banking partners.

Please reach out to Hannah Alderson at [Employer hidden] for more information and apply below - [contact hidden]

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