This job is no longer available
This job expired on 28/09/2026. It no longer accepts applications.
Graduate Treasury Analyst – London (Hybrid)
eFinancialCareers · London
Job description
About the role
This graduate position offers a recent finance graduate the chance to start a career in corporate treasury within a leading global investment bank. Working in a hybrid model (three days in the office), you will support liquidity management, cash forecasting and treasury operations across multiple regions.
Key responsibilities
- Execute treasury payments and funding activities across several currencies and legal entities.
- Monitor daily cash positions to ensure sufficient liquidity for operational needs.
- Collaborate with Accounts Payable and Payroll teams to guarantee funds are available in the correct currency and timing.
- Prepare bank reconciliations and support day‑to‑day treasury operations.
- Produce rolling cash‑flow forecasts and analyse forecast variances.
- Generate treasury reporting and management information for senior stakeholders.
- Assist in preparing presentations and reports for board‑level meetings.
- Support treasury analytics and finance transformation initiatives.
Required profile
- Recent graduate with a degree in Finance, Economics, Business or a related field.
- Strong analytical mindset and attention to detail.
- Interest in corporate treasury and financial markets.
- Ability to work collaboratively in a high‑performing team.
- Excellent communication skills for interacting with internal stakeholders.
Required skills
What we offer
- Competitive salary with bonus and benefits.
- Hybrid working model (3 days in‑office).
- Structured mentorship and exposure to senior stakeholders.
- Opportunities to develop expertise in treasury operations, cash forecasting and analytics.
- Career progression within a globally recognised investment bank.
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eFinancialCareers
London
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