Radley Green

TREASURY ANALYSTOur client is a internationally operating group under private equity ownership, recognised for its technical know-how and forward-thinking approach. It’s a setting that suits someone who wants the resources and stability of a large organisation alongside the momentum and pace typical of a PE-backed environment.This role will pay £45k – £50k plus bonus and benefits and our client offers hybrid working – 2 days a week in the office.The RoleThis Treasury Analyst position sits within the Treasury team and reports to a Senior Treasury Manager. It’s a chance to get hands-on with the mechanics of protecting the group’s financial position, contributing to cash optimisation and helping shape a function that is still being built out.Day to day, you’ll touch cash management, repatriation of funds, forecasting and reporting, plus liquidity, intercompany lending and debt servicing. Over time you’ll pick up real technical depth alongside regular contact with senior leaders, banking partners and international markets.What the Role InvolvesPreparation of the group’s consolidated cash position each day across multiple currency pools, working out what treasury activity is needed and putting it through once signed offOwning the accuracy of a weekly cash reportHelping keep on top of liquidity and short-term cash movements, including processing transfersFeeding into the wider forecasting cycle for cash flow alongside colleagues in the businessContributing to how surplus cash is moved back to where it’s needed and tracking balances held globallyAssisting with the upkeep of the intercompany lending bookActing as a point of contact for the business and the wider function on bank-related queries and platform accessKeeping bank account records and signing authorities current and accurateHelping prepare reporting tied to external borrowing – covenants, interest and hedging obligations included – on a quarterly cycleFlagging where existing ways of working could be improved or automatedInvolvement in the rollout of a new treasury system as the function modernisesBe comfortable with change and ambiguity and appreciation of a Private Equity owned environmentWhat We’re Looking ForSome background working in treasury within a corporate setting involving cash or liquidityA meticulous, detail-first approach to your workFamiliarity with online banking platforms used to manage corporate accountsA working knowledge of core accounting concepts and how finance processes fit togetherConfident, capable use of ExcelComfortable managing your own workload and juggling several priorities at onceWell organised, with a track record of hitting deadlinesOn OfferA genuine platform to develop specialist treasury skills while working closely with senior stakeholders across a large, international operation. Expect backing in the form of structured development and a supportive, ambitious team around you.If this sounds interesting and you have the relevant experience, please send your CV through for consideration.

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