Hybrid Treasury Analyst: Cash Flow & Risk in Wembley

Hybrid Treasury Analyst: Cash Flow & Risk in Wembley

Wembley Full-Time 40000 - 50000 Β£ / year (est.) No working from home possible
SNG (Sovereign Network Group)

At a Glance

  • Tasks: Manage cash flow, support month-end processes, and collaborate with teams.
  • Company: Join SNG, a forward-thinking company in the treasury sector.
  • Benefits: Generous holidays, matched pension scheme, and wellbeing initiatives.
  • Other info: Proactive role with opportunities for professional growth.
  • Why this job: Kickstart your career in treasury with a hybrid work model.
  • Qualifications: Advanced Excel skills and a passion for treasury management.

The predicted salary is between 40000 - 50000 Β£ per year.

SNG (Sovereign Network Group) is seeking a Treasury Analyst to join the team in Wembley or Basingstoke. This hybrid role demands a proactive individual who is eager to develop a career in the treasury sector, balancing office and remote work.

Key responsibilities include:

  • Managing cash and liquidity
  • Supporting month-end processes
  • Coordinating with other teams

Candidates should possess advanced Excel skills and a strong interest in treasury management.

Benefits include:

  • Generous holidays
  • A matched pension scheme
  • Wellbeing initiatives

Hybrid Treasury Analyst: Cash Flow & Risk in Wembley employer: SNG (Sovereign Network Group)

SNG (Sovereign Network Group) is an excellent employer that fosters a dynamic work culture, offering a perfect blend of office and remote work in vibrant locations like Wembley and Basingstoke. With a strong focus on employee growth, generous holiday allowances, a matched pension scheme, and comprehensive wellbeing initiatives, SNG provides a supportive environment for Treasury Analysts to thrive and develop their careers in the treasury sector.

SNG (Sovereign Network Group)

Contact Details:

SNG (Sovereign Network Group) Recruitment Team

We think you need these skills to ace Hybrid Treasury Analyst: Cash Flow & Risk in Wembley

Cash Management
Liquidity Management
Month-End Processes
Advanced Excel Skills
Treasury Management
Proactive Attitude
Team Coordination