Treasury Analyst: Cash Flow, Reporting & Intercompany in London
Treasury Analyst: Cash Flow, Reporting & Intercompany

Treasury Analyst: Cash Flow, Reporting & Intercompany in London

London Full-Time 43200 - 72000 Β£ / year (est.) No home office possible
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At a Glance

  • Tasks: Forecast cash flow, manage reporting, and handle local entity requests.
  • Company: Dynamic finance recruitment firm in Greater London.
  • Benefits: Competitive salary and opportunities for professional growth.
  • Why this job: Join a collaborative team and enhance your Treasury skills.
  • Qualifications: 2-3 years in Corporate Treasury and a relevant Bachelor's degree.
  • Other info: Perfect for detail-oriented individuals with a passion for finance.

The predicted salary is between 43200 - 72000 Β£ per year.

A finance recruitment firm is seeking a Treasury professional in Greater London. The role involves cash flow forecasting, monthly reporting, and management of local entities' requests.

The ideal candidate should have 2-3 years of Corporate Treasury experience and a Bachelor's in Finance, Accounting, or Economics. Excellent attention to detail and critical thinking skills are essential for managing multiple tasks in a collaborative environment. It's a great opportunity for someone with a keen interest in Treasury.

Treasury Analyst: Cash Flow, Reporting & Intercompany in London employer: Empirical Search

Join a dynamic finance recruitment firm in Greater London, where we prioritise employee development and foster a collaborative work culture. Our commitment to excellence is reflected in our comprehensive benefits package and opportunities for professional growth, making us an ideal employer for Treasury professionals looking to make a meaningful impact in their careers.
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Contact Detail:

Empirical Search Recruiting Team

StudySmarter Expert Advice 🀫

We think this is how you could land Treasury Analyst: Cash Flow, Reporting & Intercompany in London

✨Tip Number 1

Network like a pro! Reach out to professionals in the Treasury field on LinkedIn or at finance events. We can’t stress enough how personal connections can lead to job opportunities.

✨Tip Number 2

Prepare for interviews by brushing up on your cash flow forecasting and reporting skills. We recommend practising common interview questions related to Treasury roles so you can showcase your expertise confidently.

✨Tip Number 3

Don’t underestimate the power of follow-ups! After an interview, send a quick thank-you email to express your appreciation. It keeps you fresh in their minds and shows your enthusiasm for the role.

✨Tip Number 4

Apply through our website for the best chance at landing that Treasury Analyst role. We make it easy for you to showcase your skills and experience directly to employers looking for talent like yours!

We think you need these skills to ace Treasury Analyst: Cash Flow, Reporting & Intercompany in London

Cash Flow Forecasting
Monthly Reporting
Corporate Treasury Experience
Bachelor's in Finance
Bachelor's in Accounting
Bachelor's in Economics
Attention to Detail
Critical Thinking Skills
Task Management
Collaboration Skills

Some tips for your application 🫑

Tailor Your CV: Make sure your CV highlights your relevant experience in Corporate Treasury. We want to see how your skills in cash flow forecasting and reporting align with what we're looking for!

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you're passionate about Treasury and how your background in Finance, Accounting, or Economics makes you a great fit for the role.

Show Off Your Attention to Detail: In a role that requires precision, we love to see candidates who can demonstrate their attention to detail. Whether it's through your application format or examples of past work, make it clear that you’ve got this covered!

Apply Through Our Website: We encourage you to apply directly through our website. It’s the best way for us to receive your application and ensures you’re considered for this exciting opportunity in Greater London!

How to prepare for a job interview at Empirical Search

✨Know Your Numbers

Brush up on your cash flow forecasting techniques and be ready to discuss specific examples from your past experience. Being able to articulate how you’ve managed cash flow in previous roles will show your expertise and confidence.

✨Master the Monthly Reporting

Prepare to talk about your experience with monthly reporting. Have a few key metrics or reports you can reference that demonstrate your attention to detail and analytical skills. This will help you stand out as someone who takes reporting seriously.

✨Showcase Your Collaboration Skills

Since the role involves managing requests from local entities, think of examples where you successfully collaborated with different teams. Highlighting your ability to work well in a team will resonate with interviewers looking for a collaborative mindset.

✨Ask Insightful Questions

Prepare thoughtful questions about the company’s treasury processes or challenges they face. This shows your genuine interest in the role and helps you assess if the company is the right fit for you.

Treasury Analyst: Cash Flow, Reporting & Intercompany in London
Empirical Search
Location: London
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  • Treasury Analyst: Cash Flow, Reporting & Intercompany in London

    London
    Full-Time
    43200 - 72000 Β£ / year (est.)
  • E

    Empirical Search

    50-100
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