A leading real estate business is looking for a bright and ambitious Treasury Analyst to join its growing Treasury function. This is an excellent opportunity to gain hands-on experience across Treasury operations, process improvement and strategic projects, all within a collaborative and supportive environment.
We welcome recent finance graduates eager to build a Treasury career as well as experienced candidates looking to broaden their skills.
The Role
Day-to-day Treasury operations
Process improvements and strengthened controls
Support for strategic initiatives to improve liquidity management and optimise the Treasury Management System (TMS)
Bank reconciliations, payments, eBanking user access and KYC maintenance
Daily and monthly Treasury reporting
You’ll be encouraged to study for ACT qualifications, with financial support and study leave provided.
What We’re Looking For
Bachelor’s degree with strong academic results
Finance understanding (graduates encouraged to apply)
Microsoft Office skills, especially Excel
Ability to manage multiple priorities and deadlines
Attention to detail, proactive mindset and strong problem-solving
A good communicator and effective team player
Why Join?
This is a chance to join a leading real estate business investing in its people and systems, with genuine career progression and exposure to every aspect of Treasury operations.
You’ll work three days a week in the company’s Central London office, with flexibility to work remotely on other days.
Interested?
Whether you’re a finance graduate looking to launch your Treasury career or an experienced candidate seeking a fresh challenge, we’d love to hear from you. Send your CV or reach out today for a confidential discussion