We're on the hunt for a Senior Treasury Analyst to join a cutting-edge fintech company in the heart of London. They will play a key role in managing cash flow, optimising liquidity, and driving efficiencies across the dynamic business. This is a fantastic opportunity to work in a fast-paced, high-growth environment with hybrid working flexibility.
What you’ll be doing:-
Lead daily cash and liquidity management across multiple entities
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Manage funding strategies and support FX risk management
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Drive improvements in treasury systems, controls, and processes
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Deliver in-depth cash flow analysis and scenario modelling
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Act as a key point of contact for banking partners and internal finance stakeholders
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Support strategic treasury initiatives in alignment with business growth
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Minimum 4 years experience in a treasury function, ideally within fintech or financial services
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Proven understanding of cash management, banking, and FX operations
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Confident communicator with a proactive, problem-solving mindset
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Studying towards or holding a ACT or ACCA qualification is ideal
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Proficiency in TMS and Excel, with an ability to work with large data sets.
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Competitive salary package and excellent benefits
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Hybrid working (2 days a week in the London offices)
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Clear progression pathways and learning opportunities
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A chance to shape the future of treasury in a dynamic, commercially driven environment
If you’re a treasury professional looking for your next challenge in fintech, we’d love to hear from you. Apply now and be part of something big!