Syndicate Finance Analyst/Tresury Analyst A dynamic opportunity for an analytical finance professional to provide strategic oversight and insight across multiple Syndicates We are looking for a highly numerate and proactive Finance Analyst to join our team. You will play a pivotal role in reviewing performance, managing liquidity, and providing the senior management team with the data-driven insights needed for strategic decision-making. From onboarding new clients to managing banking facilities, you will be at the heart of our syndicate operations. Key Responsibilities Monitor historical and projected cash flows across all managed syndicates; deliver critical reporting to Risk and Senior Management. Oversee banking facilities, ensuring all paperwork and covenants are maintained, and act as the primary contact for online banking and KYC requirements. Partner with Business Development to evaluate financials for prospective clients and manage the financial integration of new entities. Support the team in meeting Lloyd's submission deadlines; provide monthly expense, investment return, and non-technical balance reports. Lead cross-syndicate projects, ensuring key actions are delivered on time and process documentation (including Project Rio) is up to date. Act as a key point of contact for the Performance Oversight Working Group and provide regular updates to the Head of Syndicate Finance. Experience Required Experience within Treasury on a hands on role Professional qualifications or qualified by experience Proven ability to produce consistently accurate work and translate complex data into clear reports under tight deadlines. Confident communicator who can work independently while collaborating effectively within a high-performing team. If you are a flexible, detail-oriented analyst ready to take the next step in your career, please get in touch.