We're on the hunt for a Treasury Analyst for 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 our dynamic business. This is a fantastic opportunity to work in a fast-paced, high-growth environment with hybrid working flexibility.
What you'll do:
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Oversee daily cash and liquidity management
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Support treasury operations, funding, and FX risk management
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Collaborate with finance teams to improve treasury processes
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Analyse cash flow trends and provide key insights
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Work with banking partners and internal stakeholders
What we're looking for:
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Experience in a treasury role, ideally within fintech or financial services
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Strong analytical skills and attention to detail
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Knowledge of cash management, FX, and banking operations
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A proactive mindset and ability to thrive in a fast-moving environment
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Treasury qualifications (ACT or similar) are a plus
Why join us?
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Competitive salary (£50K-£60K) + great benefits
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Hybrid working - split your time between our London HQ and home
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Be part of a rapidly growing fintech disrupting the industry
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Exciting career growth opportunities
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!