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Treasury Analyst

Spandex · Almondsbury, England, United Kingdom

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Treasury AnalystFull Time , HybridRole Overview:The Treasury Analyst will support the Group Treasurer in the day-to-day management of the Group's treasury activities, including cash and liquidity management, banking operations, funding, financial risk management, and in some strategic projects, such as the deployment of a groupwide treasury management system. The role offers broad exposure to international treasury operations and provides an excellent opportunity to develop expertise in corporate treasury within a multinational environment.Key ResponsibilitiesOperationsSupport daily cash and liquidity management across the Group.Assist with short & medium term cash forecasting.Support intercompany funding activities and cash pooling operations.Manage execution and monitoring of payments through the TMS (payment factory).Validate beneficiary bank account details.Assist with KYC documentation, bank account administration, and user access reviews.Support management of financing facilities, including revolving credit facilities, factoring, and debt reporting activitiesAssist with the execution of FX transactions.Support the administration and continuous improvement of treasury systems.Maintain treasury data and reporting accuracy.Treasury ProjectsThe successful candidate will play an active role in several strategic treasury initiatives, including:Implementation of the Group Treasury Management System (FIS Integrity), including testing, data migration, user training, and process documentation.Roll-out of new treasury policies, controls, and processes across the Group.Assist in driving automation and efficiency initiatives within treasury operations.Key RequirementsBachelor's degree in Finance, Accounting, Economics, Business Administration, or a related field. Master’s degree is advantageous but not required.Professional qualification such as ACT, ACA, ACCA, CIMA, desirable.1-3 years of experience in treasury, finance, accounting, banking, or audit.Strong analytical and problem-solving skills.Excellent attention to detail and organisational skills.Strong Excel skills; exposure to ERP system and/or treasury systems is an advantage.Ability to work effectively with stakeholders across multiple countries and functions internally and externally.Fluent in English; additional languages are beneficial.What We OfferBroad exposure to international corporate treasury activities.Participation in high-impact treasury transformation projects.Opportunity to develop treasury expertise within a growing global organisation.Close collaboration with senior finance and treasury leadership.