Our client is seeking a detail-oriented Treasury Administrator to join their finance team, supporting the management of client money and property-related transactions. The successful candidate will be responsible for administering funds, maintaining accurate records, and ensuring all transactions are processed securely and in line with regulatory requirements. Duties include reconciling client accounts, preparing statements, liaising with fee earners, banks and clients, and resolving any discrepancies efficiently. You will also support treasury operations such as cashflow forecasting, reporting, and intercompany transactions. The role requires strong attention to detail, excellent organisational skills, and confidence working with finance systems and Excel. This is an excellent opportunity for a proactive individual with client money experience to develop within a professional and controlled environment.