Treasury Analyst – 12‑Month Contract | South West London (4 days office‑based, 1 day wfh)
Our client is seeking an experienced Treasury Analyst from a corporate treasury environment to join their established team on an initial 12‑month contract. This is a hands‑on role for someone who can hit the ground running, take ownership of core treasury operations, and add value immediately.
You’ll support global cash management and banking activities, owning reconciliations and settlements, and contributing to cash forecasting and FX exposure management. The role works closely with banks, finance and IT teams, with responsibility for activity across the Treasury Management System (TMS) and global banking platforms, including mandates, static data and system controls.
This contract offers excellent exposure to a global treasury function, including international cash pooling, interesting geographic markets, and merger activity, alongside visibility at senior leadership level. You’ll also be joining a high‑quality, friendly and collaborative team.
What we’re looking for
* Proven experience as a Treasury Analyst within a corporate treasury function
* Hands‑on experience using a Treasury Management System (TMS)
* Practical experience working with banking platforms
* Strong background in cash management, reconciliations and treasury operations
* Exposure to cash forecasting and FX exposure management
* Comfortable operating independently in a fast‑paced, global environment
Why apply?
* 12 months of high‑impact, CV‑building treasury experience
* Genuine global exposure
* Involvement in M&A activity
* Supportive, high‑calibre Treasury team
* 4 days per week in the South West London office
If you’re an experienced corporate Treasury Analyst looking for a value‑adding contract role with real global scope, this is an excellent opportunity.