We’re excited to be partnering with a cutting-edge, global Technology business headquartered in the heart of Central London. Renowned for innovation and rapid growth, this is a company shaping the future of its industry and they’re now looking for a Treasury Analyst to join their dynamic treasury team.
This is more than just another job, it’s a chance to fast-track your career in a high-performing environment during a pivotal period of international expansion. You’ll be reporting to the Treasury Manager and supporting critical treasury operations, with real opportunities to make an impact from day one.
What you'll be doing:
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Supporting global cash and liquidity management—helping ensure the Group has the right cash in the right place, at the right time.
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Assisting with the design and execution of FX risk management strategies to mitigate currency risks.
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Driving improvements in treasury processes, reporting, and systems.
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Helping manage global banking relationships and assisting with account administration and banking projects.
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Collaborating with stakeholders across finance and the wider business to support operational excellence.
The ideal candidate:
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Studying towards (or keen to study towards) a treasury qualification (e.g., AMCT) or accounting qualification.
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3 years of experience in treasury, cash management, or a broader finance role—ideally within a corporate or multinational environment.
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Strong attention to detail with excellent TMS and Excel skills.
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A proactive, collaborative approach and strong communication skills.
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Keen to learn, take ownership, and grow within a fast-paced, ambitious business.
If you’re ready to take the next step in your treasury career with a business where innovation and ambition are truly celebrated—this is the one. Apply now!