Treasury Analyst
other jobs Communicate Recruitment Solutions LTD
Added before 12 hours
- England,London,City of London
- Full Time, Permanent
- £45,000 - £60,000 per annum
Job Description:
Treasury Analyst – Utilities | North London | c.£50k
A fantastic opportunity has arisen for a Treasury Analyst to join a well-established utilities business in North London, operating within a critical, essential-services sector. This is an excellent role for someone looking to deepen their corporate treasury experience in a stable organisation with strong processes, long-term visibility and genuine scope for development.
Working as part of a high-performing treasury team, you’ll gain broad exposure across day-to-day treasury operations while supporting key liquidity and cash management activities that are fundamental to the business.
Key responsibilities:
*Managing daily cash positioning across multiple bank accounts
*Supporting short-term cash forecasting and liquidity reporting
*Processing payments and overseeing bank reconciliations
*Assisting with treasury controls, documentation and compliance
*Building relationships with internal finance teams and external banking partners
What we’re looking for:
*ACT part or fully qualified (or actively studying)
*3+ years’ experience in a corporate treasury environment
*Strong hands-on knowledge of cash management and treasury operations
*A proactive, detail-oriented approach with strong communication skills
*Full right to work in the UK
Why apply?
This role offers the chance to join a resilient, well-funded organisation with a clear commitment to treasury best practice. You’ll benefit from structured processes, supportive leadership and the opportunity to continue building a well-rounded treasury skillset within a business that truly values its treasury function.
For further details or a confidential discussion, please get in touch.
A fantastic opportunity has arisen for a Treasury Analyst to join a well-established utilities business in North London, operating within a critical, essential-services sector. This is an excellent role for someone looking to deepen their corporate treasury experience in a stable organisation with strong processes, long-term visibility and genuine scope for development.
Working as part of a high-performing treasury team, you’ll gain broad exposure across day-to-day treasury operations while supporting key liquidity and cash management activities that are fundamental to the business.
Key responsibilities:
*Managing daily cash positioning across multiple bank accounts
*Supporting short-term cash forecasting and liquidity reporting
*Processing payments and overseeing bank reconciliations
*Assisting with treasury controls, documentation and compliance
*Building relationships with internal finance teams and external banking partners
What we’re looking for:
*ACT part or fully qualified (or actively studying)
*3+ years’ experience in a corporate treasury environment
*Strong hands-on knowledge of cash management and treasury operations
*A proactive, detail-oriented approach with strong communication skills
*Full right to work in the UK
Why apply?
This role offers the chance to join a resilient, well-funded organisation with a clear commitment to treasury best practice. You’ll benefit from structured processes, supportive leadership and the opportunity to continue building a well-rounded treasury skillset within a business that truly values its treasury function.
For further details or a confidential discussion, please get in touch.
Job number 3220787
Increase your exposure to recruiters with ProJobs
Thousands of recruiters are looking for you in the Job Master profile database, increase your exposure 4 times with a ProJob subscription
You can cancel your subscription at any time.
metapel
Company Details:
Communicate Recruitment Solutions LTD
Company size: 20–49 employees
Industry: Recruitment Consultancy
Our people-focussed methods and understanding of career pathways means we’re experts at matching the right person to the right workplace.We work...