drjobs Treasury Analyst

Treasury Analyst

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1 Vacancy
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Job Location drjobs

Swanley - UK

Monthly Salary drjobs

Not Disclosed

drjobs

Salary Not Disclosed

Vacancy

1 Vacancy

Job Description

The Treasury Analyst supports effective cash flow and liquidity management working closely with business pillars and central functions. Reporting to the Director of FP&A and Treasury the role covers forecasting payments treasury reporting and ad-hoc finance tasks including FP&A support.

Key Responsibilities

Cash Flow Forecasting & Liquidity Management

  • Develop and maintain short-term cash flow forecasts by collaborating with business units and central teams to ensure accuracy and timeliness.
  • Manage a live daily cash position updating forecasts based on latest inputs from across the group.
  • Prepare the 4-month rolling cash flow forecast consolidating submissions from business pillars and central functions.
  • Produce weekly cash flow reports with a two-week forward-looking forecast to aid liquidity planning.

Payments & Treasury Operations

  • Oversee the weekly payment cycle and review ad-hoc payment requests providing treasury approval aligned with forecasted cash positions.
  • Review high-value or exceptional payments in accordance with internal controls and treasury policies.
  • Maintain and update the monthly receipt tracker ensuring accurate allocation across business units.

Month-End & Treasury Reporting

  • Reconcile month-end cash positions by pillar ensuring consistency between forecast and actuals.
  • Maintain and update the groups loan schedule tracking all interest payments and maturity timelines.
  • Track RCF drawdowns and repayments ensuring all transactions are accurately recorded and scheduled.
  • Support the preparation of treasury reports for internal stakeholders and external audits.

Process Tracking & Governance

  • Maintain a weekly action tracker to monitor progress on assigned treasury tasks and ensure timely stakeholder engagement.
  • Coordinate and document the setup of new bank accounts working with banking partners and internal teams to meet all compliance requirements.

Cross-Functional & Ad Hoc Support

  • Provide timely support to FP&A and other finance-related activities ensuring smooth operation across finance functions during periods of peak demand or absence.

 

 


Qualifications :

  • Bachelors degree in finance Accounting or a related field; treasury or accounting qualifications preferred (e.g. ICAEW ACCA CIMA).
  • 24 years of experience in treasury finance or related roles.
  • Strong analytical and Excel skills; experience in cash forecasting and liquidity management.
  • Excellent communication and stakeholder management skills.
  • Proactive detail-oriented and capable of managing multiple priorities.


Remote Work :

No


Employment Type :

Full-time

Employment Type

Full-time

Company Industry

About Company

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