Trainline is seeking a Treasury Analyst to manage day-to-day cash across the Group’s bank accounts, own the 13‑week cash flow forecast, execute FX trades, and monitor positions with a controls-minded approach.
You’ll partner with FP&A, Management Accounts, Accounts Payable/Receivable, and banking partners, driving forecast accuracy, liquidity reporting, and treasury process improvements in a hybrid London setting.
#J-18808-LjbffrTreasury Analyst - Cash & FX Forecasting Lead employer: Trainline
At Trainline, we pride ourselves on being an exceptional employer, offering a vibrant work culture that champions collaboration and continuous improvement. Our commitment to employee growth is evident through clear career paths, personal learning budgets, and generous benefits like private healthcare and a flexible work-from-abroad policy. Join us in Edinburgh, where you can make a meaningful impact on customer experiences while enjoying a supportive environment that values your contributions.