At a Glance
- Tasks: Manage cash flow and support financial planning in a dynamic treasury role.
- Company: Join a leading financial services firm with a focus on innovation.
- Benefits: Competitive salary, full-time position, and opportunities for professional growth.
- Why this job: Kickstart your career in treasury and make a real impact in finance.
- Qualifications: Enthusiastic individuals with an interest in treasury and strong Excel skills.
- Other info: Great opportunity for career advancement in a supportive environment.
The predicted salary is between 36000 - 60000 Β£ per year.
Fantastic opportunity for a bright and enthusiastic individual looking to either take their first step into treasury, or build on their previous treasury experience in a broad cash management focused role. This is a key role that will involve all aspects of cash management and banking, as well as offering exposure to other areas of treasury management.
Responsibilities:
- Ensuring that financial obligations are met through efficient cash management and cash flow forecasting
- Liaising with internal departments to support planning, execution and settlement of sizable cash flows such as dividends, collection of remittances and financing flows
- Production of liquidity management information
- Supporting with management of short-term funding requirements
- Working with other teams to arrange intercompany funding, and providing treasury information for regular reporting and analysis
Requirements:
- Bright and enthusiastic individual with an interest in treasury management
- An understanding of cash management and banking
- Studying towards an ACT qualification would be preferred
- Strong Excel and PowerPoint skills essential
Please email Guy Middleton at guy@harveyjohn.com for further information on this opportunity.
Treasury Analyst in London employer: Harvey John
Contact Detail:
Harvey John Recruiting Team
StudySmarter Expert Advice π€«
We think this is how you could land Treasury Analyst in London
β¨Tip Number 1
Network like a pro! Reach out to people in the treasury field, attend finance events, and connect with professionals on LinkedIn. You never know who might have the inside scoop on job openings or can refer you directly.
β¨Tip Number 2
Prepare for interviews by brushing up on your cash management knowledge. Be ready to discuss your understanding of cash flow forecasting and how it impacts financial obligations. Show them you're not just enthusiastic but also knowledgeable!
β¨Tip Number 3
Donβt underestimate the power of follow-ups! After an interview, send a quick thank-you email to express your appreciation and reiterate your interest in the role. It keeps you fresh in their minds and shows your enthusiasm.
β¨Tip Number 4
Apply through our website for the best chance at landing that Treasury Analyst role! We love seeing candidates who take the initiative to engage directly with us. Plus, it makes tracking your application easier for both you and us!
We think you need these skills to ace Treasury Analyst in London
Some tips for your application π«‘
Show Your Enthusiasm: We want to see your passion for treasury management! Make sure to highlight any relevant experiences or coursework that demonstrate your interest in cash management and banking. Let your enthusiasm shine through in your application!
Tailor Your CV: When applying, customise your CV to match the job description. Focus on your skills in Excel and PowerPoint, and mention any experience related to cash flow forecasting or liquidity management. This helps us see how you fit into the role!
Craft a Compelling Cover Letter: Your cover letter is your chance to tell us why you're the perfect fit for this Treasury Analyst position. Share your career goals and how they align with our companyβs mission. Keep it concise but impactful!
Apply Through Our Website: To make sure your application gets noticed, apply directly through our website. It streamlines the process for us and ensures youβre considered for the role. We canβt wait to see what you bring to the table!
How to prepare for a job interview at Harvey John
β¨Know Your Cash Management Basics
Before the interview, brush up on your understanding of cash management and banking principles. Be ready to discuss how you would approach cash flow forecasting and liquidity management, as these are key aspects of the role.
β¨Show Enthusiasm for Treasury Management
This position is looking for a bright and enthusiastic individual. Make sure to convey your passion for treasury management during the interview. Share any relevant experiences or projects that highlight your interest in this field.
β¨Excel and PowerPoint Proficiency
Since strong Excel and PowerPoint skills are essential, prepare to demonstrate your proficiency. You might be asked about specific functions or how you would present financial data effectively, so have examples ready.
β¨Prepare Questions for the Interviewer
Have a few thoughtful questions prepared to ask the interviewer. This shows your interest in the role and helps you understand the companyβs approach to treasury management. Consider asking about their cash management strategies or how they support team development.