Strategic Treasury Analyst: Cash Flow & Liquidity

Strategic Treasury Analyst: Cash Flow & Liquidity

Full-Time 63000 - 77000 Β£ / year (est.) No working from home possible
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At a Glance

  • Tasks: Monitor cash flow, manage liquidity, and ensure compliance with treasury policies.
  • Company: Join Anthesis Group, a leader in sustainable finance solutions.
  • Benefits: Competitive salary, flexible working hours, and opportunities for professional growth.
  • Other info: Collaborative environment with a focus on sustainability and innovation.
  • Why this job: Make a real impact on financial processes and capital management.
  • Qualifications: Strong analytical skills and experience in finance or treasury.

The predicted salary is between 63000 - 77000 Β£ per year.

Anthesis Group is seeking a Treasury Analyst in the United Kingdom to support Group Finance, FP&A, Tax, and operations with cash visibility and capital management.

The role focuses on monitoring cash across entities, managing liquidity, and ensuring compliance with treasury policies.

You will work closely with finance teams to improve processes and implement treasury system enhancements.

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Strategic Treasury Analyst: Cash Flow & Liquidity employer: Anthesis Group

Anthesis Group is an excellent employer, offering a dynamic work environment where collaboration and innovation thrive. With a strong focus on employee growth, you will have access to professional development opportunities while working in the vibrant UK market. The company values transparency and teamwork, ensuring that every team member contributes to meaningful projects that drive financial success and sustainability.

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Contact Details:

Anthesis Group Recruitment Team

We think you need these skills to ace Strategic Treasury Analyst: Cash Flow & Liquidity

Cash Flow Management
Liquidity Management
Treasury Policies Compliance
Financial Analysis
Process Improvement
Treasury Systems Enhancement
Collaboration with Finance Teams