Treasury Analyst | Job in Richmond Upon Thames
In this dynamic and challenging role as a *Treasury Analyst
- in the heart of London, we are seeking an exceptionally skilled professional with a keen interest in the financial sector. The successful candidate will join a vibrant and collaborative team dedicated to shaping the future of our organization.
Bachelor's degree in Finance, Accounting, Economics, or related field; advanced degrees (MBA, MSc Finance) are highly desirable.
A minimum of 3 years of experience within treasury or a related function in the financial services industry.
Strong understanding of cash management, liquidity risk, and financing activities.
Proficiency in using Treasury management systems (e.g., SunGard, FIS, Misys).
Excellent analytical skills with the ability to evaluate complex data and make informed decisions based on findings.
Exceptional attention to detail and strong numerical accuracy, ensuring flawless execution of tasks.
Proven ability to work collaboratively within a team and manage competing priorities effectively.
A strong communicator who can articulate complex financial concepts clearly and concisely.
Familiarity with relevant local and international treasury regulations is beneficial.
Strong Excel and PowerPoint skills, including the ability to create sophisticated financial models and presentations.
Knowledge of foreign exchange risk management practices and principles.
Experience working within a large, multinational organization is advantageous.
Demonstrated ability to work in a fast-paced environment with changing priorities.
A proactive approach to problem-solving and a willingness to learn new skills as necessary.
This role offers an exciting opportunity for a Treasury Analyst to grow their career within a forward-thinking organization committed to fostering professional development. If you are a detail-oriented, analytical professional with a passion for finance, we invite you to join our team in London.
To apply, please submit your resume and cover letter outlining your relevant experience and qualifications. Only candidates who meet the minimum requirements will be contacted for further consideration.
We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.
Company Overview
Based in the heart of London, we are a leading global financial institution with a rich history dating back over 150 years. Our commitment to innovation and excellence has made us a trusted partner for clients worldwide, offering a comprehensive range of financial services across banking, investments, and markets. We pride ourselves on fostering a diverse, inclusive, and collaborative work environment where our employees can grow professionally and personally.
Our Treasury department plays a critical role in managing the institution's financial risks, liquidity, and capital. The team is responsible for implementing and maintaining the treasury strategy, overseeing funding, investment, and foreign exchange activities.
As a Treasury Analyst, you will be an integral part of our dynamic Treasury team. In this role, you will support the day-to-day operations, analyzing market data, and maintaining accurate records. Your responsibilities will include:
- Assisting in the execution of funding, liquidity management, and foreign exchange transactions.
- Conducting comprehensive analysis of financial markets and economic indicators to inform strategic decisions.
- Collaborating with internal stakeholders to ensure the accuracy and completeness of treasury data and reports.
- Participating in projects related to risk management, regulatory compliance, and system implementation.
- Staying abreast of market developments and regulatory changes, and their potential impact on our treasury activities.
We seek a motivated and ambitious individual with the following qualifications:
- A degree in Finance, Economics, or a related field, with a strong academic record.
- Proven experience in a Treasury Analyst role within a financial institution, preferably within the London market.
- Proficiency in financial modeling and risk management techniques.
- Strong analytical skills, with the ability to interpret complex data and draw meaningful conclusions.
- Excellent communication skills, both written and verbal, with the ability to articulate complex ideas clearly.
- A keen interest in capital markets and the financial services industry.
- Knowledge of relevant regulatory requirements and market practices.
By joining our team as a Treasury Analyst, you will have the opportunity to work with some of the most talented professionals in the industry, gain valuable experience, and contribute to the success of one of the world's leading financial institutions. We offer competitive compensation, comprehensive benefits, and opportunities for personal and professional growth.
We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.
To apply for the Treasury Analyst role, please submit your resume and cover letter through our career website. We encourage you to tailor your application to highlight your relevant skills and experience. Please include the job title and your name in the subject line of your email.
We look forward to reviewing your application and exploring the possibility of welcoming you to our team!
Additional Information
Job Designation: Treasury Analyst - Treasury Analyst, Financial Services, London Market
Experience Requirements: 1 years experience required
Work Hours: 38
Qualifications: Bachelor's Degree In Finance, Accounting, Economics, Or Related Field, Mba, Msc Finance, 3 Years Of Experience Within Treasury Or A Related Function In The Financial Services Industry, Proficiency In Using Treasury Management Systems (E.g., Sungard, Fis, Misys), Strong Excel And Powerpoint Skills, Knowledge Of Foreign Exchange Risk Management Practices And Principles, Experience Working Within A Large, Multinational Organization