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Treasury Liquidity Analyst

Michael Page Finance · London

Permanent 50,000 - 60,000 GBP/year 🇬🇧 English

Job description

About the role

The Treasury Liquidity Analyst will monitor and manage the company’s liquidity and cash flow to ensure sufficient funds for day‑to‑day operations. Working within a fast‑growing fintech payments business, you will support treasury policy implementation and provide insight to senior management.

Key responsibilities

  • Monitor daily liquidity and cash positions to guarantee operational funding.
  • Analyse cash‑flow forecasts and recommend optimisation measures.
  • Support the rollout and adherence to treasury policies and procedures.
  • Prepare regular liquidity and treasury reports for senior management.
  • Assist in managing relationships with banks and other financial institutions.
  • Ensure compliance with regulatory requirements affecting treasury activities.
  • Collaborate with internal teams to improve financial strategies and treasury efficiency.

Required profile

  • Strong understanding of treasury functions and financial analysis.
  • Experience in accounting or finance within the business services sector.
  • Excellent analytical ability and attention to detail.
  • Knowledge of regulatory requirements related to treasury operations.
  • Ability to work effectively with internal and external stakeholders.

Required skills

    What we offer

    • Competitive salary of £50,000‑£60,000 per year, plus performance‑based bonus.
    • Permanent contract within a professional environment.
    • Opportunities for career development and progression.
    • Inclusive and supportive company culture.

    Questions fréquentes

    Le salaire proposé pour ce poste est de 50-60k GBP par an. Le détail figure dans l'annonce.
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    Le contrat proposé est un Permanent basé à London.

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    Published 2 months ago

    20 views · 0 interested

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    Michael Page Finance

    London