I’m currently supporting a FTSE listed business with the hiring of a Treasury Analyst to join their collaborative and high-performing Treasury team in London. This is a fantastic opportunity for someone early in their treasury or finance career to gain broad exposure across cash management, debt management, banking projects, treasury systems, and exposure to debt facilities. What you’ll be doing: Supporting daily cash and payments processes across loans, derivatives, deposits and FX Assisting with maintenance of the Treasury Management System Supporting compliance processes including KYC and onboarding of counterparties Helping prepare loan and facility compliance documentation Contributing to process improvement and maintaining core treasury records What we’re looking for: Strong Excel and Microsoft Office skills Great attention to detail and ownership of your work A proactive, collaborative team player with good communication skills Some treasury or banking experience is an advantage, but not essential This is a brilliant entry point into corporate treasury within a supportive environment that values development, collaboration and impact. Must have the right to work in the UK to be considered for the position.