Are you ready to elevate your career in a fast-paced financial environment? An international financial institution is seeking a proactive and analytical Treasury Analyst to play a key role in shaping financial strategy, driving efficiency, and optimising Treasury operations
The Role
Join a dynamic Treasury team and take the lead in managing liquidity, assessing risk, and ensuring compliance with regulatory requirements
About You
You are a detail-oriented and strategic thinker with a passion for financial analysis and risk management
The Reward
The Role
Join a dynamic Treasury team and take the lead in managing liquidity, assessing risk, and ensuring compliance with regulatory requirements
- Prepare and present Treasury reports to key stakeholders
- Analyse financial data and prepare forecasts
- Maintain accurate transaction records and support cash management
- Develop knowledge of risk mitigation strategies
- Build and support relationships with external stakeholders
- Liaise with clients to discuss products and services
- Lead commercial opportunities and support business development
- Assist with internal policy adherence and risk management
- Deliver training and support process improvements
About You
You are a detail-oriented and strategic thinker with a passion for financial analysis and risk management
- Experience in Treasury operations
- Strong knowledge of Microsoft Excel and other Microsoft tools
- Understanding of Foreign Exchange and Interest Rate Markets
- Excellent organisational skills with strong attention to detail
- Proven ability to work both independently and as part of a team
- Effective communication skills with a problem-solving mindset
- A proactive approach to identifying and implementing improvements
The Reward
- Competitive salary package
- Private healthcare and life insurance
- Flexible working hours
- Access to a pension scheme
- Training and career development opportunities
- Volunteering opportunities
- Supportive and engaging workplace culture