Step into the Heart of Treasury
As a Graduate in Cash & Liquidity youll be part of the team that ensures funds are where they need to be when they need to be there. Youll learn how global cash positions are monitored how liquidity is maintained and how data turns into strategy.
What Youll Be Doing
- Supporting daily cash management and liquidity operations
- Preparing and reviewing cash flow reports and reconciliations
- Assisting senior team members with funding and investment processes
- Maintaining treasury records and ensuring data accuracy
- Participating in system improvements and automation projects
- Completing structured training and professional development modules
Who Were Looking For
- A recent graduate with a degree in Finance Accounting Economics or Business
- Curious about how financial systems work beneath the surface
- Analytical organised and confident working with numbers and detail
- Eager to learn from experienced Treasury professionals
- Calm under pressure and proactive in finding solutions
Why Treasury One
You will gain a deep understanding of how money moves through organisations from forecasting and cash pooling to liquidity optimisation and risk management. Treasury offers a clear technical career path with strong analytical grounding and direct impact on the business every single day.
Your Development Path
Youll receive hands-on mentoring internal training and exposure to advanced Treasury systems and processes. Successful graduates progress into roles such as Treasury Analyst or Cash & Liquidity Officer with opportunities to pursue professional certifications.
Required Experience:
Manager
Step into the Heart of TreasuryAs a Graduate in Cash & Liquidity youll be part of the team that ensures funds are where they need to be when they need to be there. Youll learn how global cash positions are monitored how liquidity is maintained and how data turns into strategy.What Youll Be DoingSupp...
Step into the Heart of Treasury
As a Graduate in Cash & Liquidity youll be part of the team that ensures funds are where they need to be when they need to be there. Youll learn how global cash positions are monitored how liquidity is maintained and how data turns into strategy.
What Youll Be Doing
- Supporting daily cash management and liquidity operations
- Preparing and reviewing cash flow reports and reconciliations
- Assisting senior team members with funding and investment processes
- Maintaining treasury records and ensuring data accuracy
- Participating in system improvements and automation projects
- Completing structured training and professional development modules
Who Were Looking For
- A recent graduate with a degree in Finance Accounting Economics or Business
- Curious about how financial systems work beneath the surface
- Analytical organised and confident working with numbers and detail
- Eager to learn from experienced Treasury professionals
- Calm under pressure and proactive in finding solutions
Why Treasury One
You will gain a deep understanding of how money moves through organisations from forecasting and cash pooling to liquidity optimisation and risk management. Treasury offers a clear technical career path with strong analytical grounding and direct impact on the business every single day.
Your Development Path
Youll receive hands-on mentoring internal training and exposure to advanced Treasury systems and processes. Successful graduates progress into roles such as Treasury Analyst or Cash & Liquidity Officer with opportunities to pursue professional certifications.
Required Experience:
Manager
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