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Treasury analyst

London
Hays
Treasury analyst
Posted: 10 March
Offer description

Treasury Analyst

Employer Location City of London, England, London Salary - per annum + £45,000 - £55,000 Closing date 7 Apr 2026 View more categoriesView less categories Sector Salary band, Contract type Hours Where will they be working You need to or to save a job.

Job Details


We are partnering with a rapidly growing insurance company, which is one of the largest and most experienced in their niche market with offices across Europe, Asia, North America and Australia. This role has been created due to recent growth and is a business that truly values the Treasury Function and you will be supporting the strategic direction of the business while maintaining day-to-day operations.
They are seeking a highly motivated individual to join the Treasury team to carry out global treasury operations processes and support strategic projects. This role will report to the Treasury Manager in overseeing activities related to the cash management and banking-related services for the Group Companies.

This includes responsibility for managing cash positions and ensuring the availability of adequate funds to meet plans and obligations, while ensuring accurate and timely transmission of cash payments and receipts.
Key Responsibilities

1. Execute domestic and cross‑border payments in line with approved processes, internal controls, and delegated authorities.
2. Process multicurrency bank transactions accurately and on time, ensuring compliance with local regulatory and banking requirements.
3. Maintain bank account signatory lists and support bank account administration activities.
4. Support daily cash positioning across group entities, including monitoring balances and movements across bank accounts and currencies.
5. Assist in the preparation of short‑term cash forecasts to support liquidity planning and operational funding requirements.
6. Escalate potential cash shortfalls or timing issues to senior treasury team members in a timely manner.
7. Prepare monthly bank reconciliations and investigate reconciling items, working with internal stakeholders to resolve discrepancies.
8. Adhere to treasury policies, procedures, and internal control requirements in day‑to‑day activities.
9. Support updates to treasury process documentation and control evidence as required.
10. Assist with the preparation of regular treasury management information, including cash, liquidity, and banking metrics.
11. Support month‑end and audit processes by providing required treasury data, reconciliations, and supporting documentation.
12. Liaise with internal finance, tax, and operational teams to ensure smooth execution of treasury activities.
13. Support the execution and settlement of foreign exchange transactions in accordance with approved processes and instructions
14. Maintain accurate records of FX trades and settlements for reporting and audit purposes.
15. Support with the end-to-end Company Credit Card process, including administration of existing and new cards under the guidance of senior team members.
16. Support treasury‑related projects and transformation initiatives under the guidance of senior team members.
17. Undertake ad‑hoc treasury analysis and tasks as required to support the wider finance function.
18. Maintain high standards of accuracy, documentation, and timeliness across all treasury activities.
Qualifications and Experience
19. Previous Treasury experience
20. High level of attention to detail, with the ability to deliver accurate, high‑quality work within agreed deadlines.
21. Well‑organised and able to prioritise tasks effectively in an environment with competing deadlines and changing priorities.
22. Proactive and adaptable, with the ability to operate effectively in a fast‑paced and evolving treasury or finance function.
23. Comfortable working across multiple stakeholders, functions, and time zones, demonstrating professionalism and responsiveness.
24. Strong written and verbal communication skills, with the ability to convey information in a clear, concise, and practical manner.
25. Collaborative team player who builds and maintains effective working relationships across the organisation.
26. Willingness to learn, develop, and take on increasing responsibility over time, with an openness to feedback and continuous improvement.
27. Demonstrates a constructive mindset, with the confidence to question processes and suggest improvements in a professional and considered manner.

If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.
If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career.

Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at

Company

At Hays we invest in lifelong partnerships that empower people and businesses to succeed. With over 50 years’ success under our belts and a workforce of 10,000+ people across 32 countries, we’ve evolved to put our customers at the heart of everything we do.

From CFO to Newly Qualified, we work with talented finance professionals and match them with organisations where they can achieve a lasting impact.

So much more than specialist recruiters in accounting and finance, what really sets us apart is our knowledge through scale, deep understanding and our ability to meaningfully innovate for our customers. All our consultants have strong relationships across the industry and the support of our extensive global network. That’s why organisations of all types and sizes – from international blue chips to SMEs – trust us to find the people who can help transform their business.

So, whether you want something local or international, permanent, or interim, we have the breadth of coverage and the depth of understanding to help you find it.

We have specialist recruitment teams in the following areas:

28. Corporate Governance
29. Credit Control
30. Part-Qualified Accountant
31. Payroll
32. Public Practice Accounting
33. Public Services Accounting
34. Senior Finance – Qualified
35. Support, Ledgers & Bookkeeping
36. Tax & Treasury

You can rely on us to deliver today and help you plan for tomorrow

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