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.