The Role
As Treasury Analyst, you will work closely with the Head of Treasury Operations, supporting day‑to‑day cash and liquidity management, FX activity, investments, and treasury systems within a regulated environment.
Key Responsibilities
* Daily cash positioning to ensure sufficient liquidity for operating and client accounts
* Management of money market and cash pool accounts
* Input, approval and control of payments via bank platforms and a Treasury Management System (TMS)
* Bank account administration, including signatories, access and KYC requirements
* Execution and reporting of FX transactions (spot and forwards)
* Supporting treasury projects, systems enhancements and process improvement initiatives
Skills & Experience
* Experience in treasury, cash management or a related finance role
* Exposure to cash management, payments, banking and/or FX
* Understanding of financial controls and regulated environments (desirable)
* Experience with a Treasury Management System beneficial but not essential
* Treasury or accounting qualifications (ACT / ICAN / similar) advantageous but not required
Why Join
* Broad operational treasury exposure in a regulated financial services environment
* Opportunity to develop skills across cash, FX, client money and treasury systems
* ACT study support provided, making this an excellent opportunity for individuals looking to continue their professional route into treasury
* Collaborative, growing treasury team with clear long‑term development opportunities
Location
Brighton – 5 days office‑based
Please note
This role does not offer visa sponsorship and requires existing UK right‑to‑work
Brewer Morris are supporting a well‑established privately owned insurance broker, with the appointment of a Treasury Analyst to join its UK Treasury team, based in Brighton.
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