Pure Search are exclusively engaged on a Treasury Analyst search for a European business that provides a range of convenient, technology‑enabled services to organisations and public spaces.
The role will initially focus on core numerical BAU activities, including daily cash positioning, cash flow forecasting, reporting, treasury payments, and detailed analysis. You will be expected to pick up these day‑to‑day operations quickly and operate with confidence from the outset.
At the same time, the long‑term opportunity is genuinely uncapped. As the organisation undergoes significant change, this position is ideal for someone with strong ambition beyond BAU, someone who wants to grow, expand their remit, and play a meaningful part in shaping the future of the function.
To succeed, you will need to be driven, hands‑on, and comfortable rolling up your sleeves in a lean team. In return, you will gain exceptional exposure across Treasury and wider Finance projects, working closely with the Deputy Treasurer, CFO, and senior leadership on the ongoing evolution and transformation of the business.
We’re open to strong Treasury Analysts or Senior Treasury Analysts with experience in fast‑paced, lean environments (PE or similar). Salary dependent on experience.
Office attendance is currently occasional, but the role will shift to a regular hybrid pattern later in the year, so being commutable to Central London is essential.
Please note that sponsorship is not available for this position.