Treasury Analyst: Forecasting, Cash Flow & Risk (Hybrid)

Treasury Analyst: Forecasting, Cash Flow & Risk (Hybrid)

Full-Time 28350 - 34650 £ / year (est.) Home office (partial)
P

At a Glance

  • Tasks: Support treasury management, reporting, and forecasting to enhance financial resilience.
  • Company: Progress Housing Group, committed to financial sustainability and growth.
  • Benefits: Fixed-term contract with opportunities for career development and continuous improvement.
  • Other info: Hybrid working model based in Leyland with a focus on collaboration.
  • Why this job: Join a proactive team and make a real impact on financial strategies.
  • Qualifications: Proactive attitude and experience in treasury management or finance.

The predicted salary is between 28350 - 34650 £ per year.

Progress Housing Group is seeking a proactive Treasury Analyst for a fixed-term 9‑month contract based in Leyland.

You will support treasury management, reporting and forecasting to strengthen financial resilience and sustainability.

You will work with internal teams, lenders and advisers on a range of activities including borrowing, investments and loan administration while contributing to continuous improvement and career development within the group.

#J-18808-Ljbffr

Treasury Analyst: Forecasting, Cash Flow & Risk (Hybrid) employer: Progress Housing Group Ltd

Progress Housing Group is an excellent employer that values proactive individuals looking to make a meaningful impact in treasury management. With a strong focus on employee growth and continuous improvement, you will thrive in a supportive work culture that encourages collaboration with internal teams and external partners. Located in Leyland, this role offers a unique opportunity to contribute to financial resilience while enjoying a hybrid working model that promotes work-life balance.

P

Contact Details:

Progress Housing Group Ltd Recruitment Team

We think you need these skills to ace Treasury Analyst: Forecasting, Cash Flow & Risk (Hybrid)

Treasury Management
Financial Reporting
Forecasting
Cash Flow Analysis
Risk Management
Collaboration Skills
Investment Analysis