Senior Treasury Systems Analyst (12-month FTC)
Join to apply for the Senior Treasury Systems Analyst (12-month FTC) role at Howden. We are looking for a Senior Treasury Systems Analyst to join our Group Treasury team.
The Senior Treasury Systems Analyst is responsible for the Group Treasury Management system, Online Banking System Admin, Banking Connectivity, and system testing for Cash pooling projects and other system integrations into TMS. The candidate will report into the Senior Manager – Treasury Transformation and support other emerging projects from Group Treasury and the wider group.
Seniority: Mid‑Senior level
Employment type: Full‑time
Job function: Finance
Location: Central London – hybrid, 2–3 days onsite per week
What will you be doing?
* Management of global online banking systems and TMS, ensuring all static data feeds are correct and remedy any errors that occur.
* Management of user access rights for all regions, documented and reviewed regularly.
* Implement new initiatives to move Treasury and business units away from online banking portals to a new centralised Global TMS with Swift bureau.
* Implement new Global TMS functionality to support daily operations and integrate with GL/ERP systems.
* Proactively identify ways to improve automation and streamline processes.
* Involvement in global Treasury cash pooling projects for system integration of TMS and integrations with ERP/GLs, including end‑to‑end IHB testing and CAMT053 statement mock‑ups.
* Support business functions for banking connectivity and products and services for Open Banking, Digital Asset Tokenisation, APIs and TMS integrations.
* Monitor daily dashboards for any connectivity issues.
* Point of contact for static data, payments/settlements enquiries.
* Liaise with internal Group IT teams and external banking partners across the globe to ensure smooth running of banking statement and payment feeds.
* Lead daily processes and system workflows ensuring good functionality for day‑to‑day controls.
* Act as technical support for the team, supporting the Treasury Operations Manager for daily operations and Senior Treasury Manager on new initiatives and Treasury projects.
What are we looking for?
* At least 5 years of prior experience working in a Treasury function in Financial Services or Insurance industries.
* Experience with SWIFT MT & MX messaging and ISO20022 XML payment files.
* Experience working with Treasury Management Systems.
* Excellent ability to prioritise continuously and effectively.
* Demonstrable experience producing accurate, time‑sensitive reporting and analysis.
* Accurate and excellent at self‑review with good working knowledge of basic financial controls and reconciliations.
Our office is located in Central London and follows a hybrid working pattern. The role is a 12‑month fixed‑term contract.
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