We are partnering with an International Trading firm operating across multiple asset classes seeking a Treasury Analyst to play a key part in the daily operations of the Treasury team.
Within the role, you will process margin call payments, manage collateral, handle disputes with counterparties, and collaborate with various internal teams. Your work will contribute to effective risk management, financial reporting, and process improvement initiatives, making a direct impact on the organisation’s financial operations and strategic goals.
Key Skills
* Strong analytical and numerical skills
* Attention to detail and high level of accuracy
* Effective time management
* Clear written and verbal communication
* Ability to work independently and as part of a team
* General understanding of financial markets and risk management
* Proactive approach and interest in process improvements
* Progress toward or interest in professional qualifications (e.g. accounting or treasury) – desirable
* Technical skills in Excel are desirable
* Familiarity with Python, SQL, or data tools is a plus
* Experience with data visualisation tools (e.g. Power BI, Tableau) – nice to have
* Adaptable and comfortable working under pressure
Why Apply?
* Comprehensive benefits package
* Flexible working arrangements
* Health and wellbeing programs
* Strong focus on employee engagement, diversity, and inclusion
* Opportunity to work with a collaborative, supportive team
* Global exposure and career development