Save Job Back to Search Job Description Summary Similar JobsJoin a high-performing, ambitious team for a recently listed businessRare opportunity to gain exposure to Treasury front office at entry levelAbout Our ClientOur client is a recently listed international business operating across multiple markets, supported by a team of over 3,000 highly skilled professionals worldwide.With significant foreign exchange exposure, a sophisticated debt programme and substantial ongoing capital investment, the treasury function plays a critical role in supporting the organisation's growth ambitions.This is an opportunity to join a high-performing, ambitious team and gain exposure to a broad range of treasury activities within a complex and evolving global environment.Job DescriptionSupport the Group Treasury Manager across treasury operations and strategic initiatives.Manage daily cash positioning, liquidity and banking activities across the Group.Prepare daily cash reports, highlighting key movements and funding requirements.Maintain short and medium-term cash flow forecasts, analysing trends, variances and liquidity requirements.Support FX exposure reporting, treasury risk management and other front-office treasury activities.Assist with debt management activities, refinancing projects and financing-related analysis.Prepare treasury reporting, dashboards and management information for senior stakeholders and Treasury Committee meetings.Consolidate and analyse financial data to support strategic business decision-making.Support treasury projects, system enhancements and process improvement initiatives.Maintain strong treasury controls, governance and documentation across the function.The Successful ApplicantOur client is looking for an entry0lecel Treasury Analyst with a strong academic background, a genuine interest in treasury and finance, and the ambition to build a long-term career in a dynamic global organisation.You will have:A degree at 2:1 or above.A-Level Mathematics (or equivalent).A degree in Finance, Economics, Mathematics, Engineering or another quantitative discipline is preferred.Strong analytical and problem-solving skills with excellent attention to detail.The ability to work confidently with complex financial data and translate insights into action.A proactive, enthusiastic and driven approach, with a desire to learn and develop.Strong communication skills and the ability to build effective relationships with stakeholders.Previous experience in treasury, finance, banking or an analytical role would be advantageous.A willingness to pursue professional treasury qualifications, with ACT study support provided.What's on OfferSalary c£35,000ACT study support to further your professional qualifications.Permanent position offering stability and growth.Why Apply?Join a recently listed business at a pivotal stage of growth.Gain exposure to both cash management and front-office treasury activities.Work closely with senior finance leaders and experienced treasury professionals.Build broad treasury expertise within a global organisation.Excellent opportunity for long-term development and progression.If you're interested in this role, apply now.People are at the heart of Michael Page. We are committed to creating an inclusive environment. As an inclusive recruiter we welcome applications from people of all backgrounds, identities and experiences. If you require any adjustments or accommodations during the recruitment process, we'll work with you to ensure you can perform at your best.ContactRebecca ScuffamQuote job refJN-082026-7092316Phone number+44 207 269 2171Job summaryJob functionTreasurySubsectorTreasurySectorIndustrial / ManufacturingWhereCity of LondonContract typePermanentConsultant nameRebecca ScuffamConsultant phone+44 207 269 2171Job referenceJN-082026-7092316