Senior Treasury Analyst

Senior Treasury Analyst

City of London Full-Time 36000 - 60000 £ / year (est.) Home office (partial)
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At a Glance

  • Tasks: Manage daily cash positions and execute FX transactions in a dynamic treasury environment.
  • Company: Established international group with operations in 37 countries and a forward-thinking treasury team.
  • Benefits: Competitive salary, hybrid working model, and professional development support.
  • Why this job: Join a globally connected treasury function and broaden your career with diverse responsibilities.
  • Qualifications: Degree-qualified with knowledge of cash management and front-office treasury processes.
  • Other info: Collaborative team culture focused on automation and continuous improvement.

The predicted salary is between 36000 - 60000 £ per year.

Front-office FX and cash focused opportunity with a broad remit and real scope to grow beyond the core responsibilities.

About Our Client: My client is an established international group with operations in 37 countries and a sophisticated treasury environment. Operating with over 200 bank accounts across a multi-bank structure, the treasury team plays a key role in supporting global liquidity, FX risk, and intercompany funding. With international cash pooling and straight-through trading processes already in place, this is a forward-thinking team focused on automation, efficiency, and adding value across the wider finance function. The company offers a collaborative, professionally rewarding environment with clear hybrid working guidelines, Tuesdays and Thursdays are anchor office days, and flexibility around the rest of the week. For treasury professionals looking to broaden their exposure, this is a role that won’t pigeonhole you and will also offer study support to further your professional development.

Job Description: This is a highly visible and hands-on opportunity for a technically strong and proactive Senior Treasury Analyst. The role sits at the heart of Group Treasury and focuses on daily cash management, FX dealing, treasury reporting, and control of key Group registers including intercompany loans and bank guarantees.

  • Manage daily cash positions across the Group, supporting international pooling structures and short-term liquidity optimisation.
  • Execute FX transactions in line with policy (~£100m gross per month), primarily through automated platforms.
  • Input FX/MM trades via 360T or ICD, interfaced directly into the Treasury Management System (FIS Integrity).
  • Prepare daily UK cash position summaries and monthly cash reports for regional finance leads.
  • Maintain and report on 200+ global bank accounts and associated facilities.
  • Support the Group's bank and parental guarantee programme, including administration and internal reporting.
  • Oversee intercompany loan registers, contracts, and interest calculations/postings.
  • Maintain key control registers for guarantees and facilities.
  • Ensure compliance with the Group's sanctions programme and associated controls.
  • Collaborate with Group Tax, Finance, Shared Services, and external banking partners.
  • Contribute to continuous process improvement and support wider treasury initiatives beyond core remit.

The Successful Applicant: Degree-qualified with a relevant professional qualification (ACT, AMCT, ACA, ACCA, CIMA preferred). Strong knowledge of cash management, FX execution, and front-office treasury processes. Experience with TMS platforms and dealing systems, FIS Integrity, 360T, ICD, HSBCnet or similar. Confident using Excel and able to interpret and communicate financial data effectively. Organised, detail-driven, and comfortable managing competing priorities. Clear communicator with experience engaging internal stakeholders and external banks. Motivated self-starter with a proactive mindset and appetite to broaden their role.

What’s on Offer: Competitive salary and benefits package. Hybrid working model with Tuesdays and Thursdays in the London office. Exposure to international treasury operations across 37 countries. A non-siloed, varied role with room to grow your remit over time. A supportive team environment with a strong emphasis on systems, automation, and professional development. The chance to work in a globally connected treasury function with a modern, tech-enabled setup.

Senior Treasury Analyst employer: Michael Page (UK)

Join a forward-thinking international group that values collaboration and professional growth in the heart of London. As a Senior Treasury Analyst, you'll benefit from a hybrid working model, competitive salary, and a supportive team environment that prioritises automation and efficiency. With opportunities to broaden your role and enhance your skills through study support, this is an excellent employer for treasury professionals seeking meaningful and rewarding careers.
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Contact Detail:

Michael Page (UK) Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Senior Treasury Analyst

✨Tip Number 1

Network like a pro! Reach out to your connections in the treasury field and let them know you're on the lookout for opportunities. You never know who might have the inside scoop on a role that’s perfect for you.

✨Tip Number 2

Prepare for interviews by brushing up on your knowledge of cash management and FX processes. Be ready to discuss how you've handled similar responsibilities in the past, and don’t forget to highlight your experience with TMS platforms!

✨Tip Number 3

Showcase your proactive mindset! During interviews, share examples of how you've contributed to process improvements or taken on additional responsibilities. This will demonstrate your motivation to grow within the treasury function.

✨Tip Number 4

Don’t just apply anywhere—apply through our website! We’re all about finding the right fit, and applying directly helps us see your enthusiasm for joining our forward-thinking team.

We think you need these skills to ace Senior Treasury Analyst

Cash Management
FX Execution
Treasury Reporting
Intercompany Loans Management
Bank Guarantees Administration
Treasury Management Systems (TMS)
FIS Integrity
360T
ICD
Excel Proficiency
Financial Data Interpretation
Stakeholder Engagement
Process Improvement
Proactive Mindset
Organisational Skills

Some tips for your application 🫡

Tailor Your CV: Make sure your CV speaks directly to the role of Senior Treasury Analyst. Highlight your experience with cash management, FX execution, and any relevant TMS platforms like FIS Integrity or 360T. We want to see how your skills align with our needs!

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you're excited about this opportunity and how you can contribute to our forward-thinking treasury team. Be sure to mention your proactive mindset and desire for professional development.

Showcase Your Technical Skills: Since this role requires strong technical abilities, don’t shy away from mentioning your proficiency in Excel and any experience with financial data interpretation. We love candidates who can communicate complex information clearly!

Apply Through Our Website: We encourage you to apply through our website for a smoother application process. It helps us keep track of your application and ensures you’re considered for this exciting opportunity in our collaborative team!

How to prepare for a job interview at Michael Page (UK)

✨Know Your Treasury Fundamentals

Make sure you brush up on your cash management and FX execution knowledge. Be ready to discuss how you've handled daily cash positions or executed FX transactions in the past. This role is all about being proactive, so show them you understand the core responsibilities.

✨Familiarise Yourself with Relevant Systems

Since the company uses platforms like FIS Integrity, 360T, and ICD, it’s a good idea to get acquainted with these systems if you haven’t already. Even if you haven't used them directly, understanding their functionalities can help you speak confidently about how you would adapt to their tech-enabled environment.

✨Prepare for Scenario-Based Questions

Expect questions that assess your problem-solving skills and ability to manage competing priorities. Think of specific examples from your past experiences where you improved processes or managed liquidity effectively. This will demonstrate your proactive mindset and readiness to contribute to continuous improvement.

✨Engage with Stakeholders

This role involves collaboration with various teams, so be prepared to discuss how you've successfully engaged with internal stakeholders and external banks in previous roles. Highlight your communication skills and any experience you have in managing relationships, as this will be key in a collaborative environment.

Senior Treasury Analyst
Michael Page (UK)
Location: City of London

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