Treasury Analyst - Global Sustainability Business

London Permanent £40,000 - £50,000 per year View Job Description
A high‑impact role driving global treasury operations across cash management, banking, intercompany activity, and financial governance.You'll boost liquidity, strengthen controls, sharpen reporting, and collaborate with finance teams worldwide to keep the organisation moving confidently and efficiently.
  • Opportunity to work with a leading sustainability focussed organisation
  • Working as part of a highly regarded, close knit Treasury team

About Our Client

Our client is a high‑performing global organisation working with major companies to drive meaningful sustainability and commercial outcomes. With decades of experience across environmental, social, and risk‑related areas, they're known for turning long‑term goals into real progress. Operating across multiple regions, they unite diverse expertise to deliver impactful, future‑focused solutions worldwide.

Job Description

  • Support global treasury operations, keeping reporting sharp, governance strong, and liquidity flowing smoothly.
  • Own daily and weekly cash reporting, giving senior leaders clear, timely insights.
  • Help roll out a global cash‑pooling structure and manage day‑to‑day liquidity, MMF trades, and short‑term investments.
  • Keep eyes on global cash, support repatriations, and assist with FX activity and reporting.
  • Drive global bank account rationalisation and keep the Bank Account Masterfile in top shape.
  • Coordinate quarterly bank account confirmations across all regions.
  • Manage the full bank‑account lifecycle in the TMS
  • Review and process bank guarantee requests from local teams.
  • Post intercompany treasury transactions and calculate/post quarterly interest.
  • Support reporting for Group Finance, Tax, and business stakeholders.
  • Ensure key controls are followed, evidenced, and fully compliant.
  • Maintain the TMS, uphold clean static data, and support banking platform admin.
  • Provide cross‑training and backup to the wider treasury team.
  • Assist with Group share‑scheme admin and reporting.
  • Contribute to system upgrades, process improvements, and wider treasury projects.

The Successful Applicant

  • Proven treasury cash‑management expertise with a proactive, agile approach and strong stakeholder‑management capabilities.
  • Treasury experience in a multinational organisation, with a degree in Finance, Accounting, Economics, or similar.
  • Advanced Excel skills and strong overall Microsoft Office proficiency.
  • Personable, ambitious, detail‑driven, and able to build strong relationships while communicating confidently with internal and external stakeholders.
  • Structured, pragmatic problem‑solver with excellent time‑management and the ability to deliver accurately at pace.

What's on Offer

Competitive salary up to £50,000 per annum.

Strong opportunities for professional growth and development.

London location with a hybrid working set up, 2-3 days per week in the office.

Join a fun, close‑knit treasury team within a high‑performance sustainability‑focused business partnering with leading global companies to drive meaningful, future‑focused impact.

Contact
Rebecca Scuffam
Quote job ref
JN-022026-6948130
Phone number
+44 207 269 2171

Job summary

Job function
Treasury
Subsector
Treasury
Sector
Business Services
Location
London
Contract type
Permanent
Consultant name
Rebecca Scuffam
Consultant phone
+44 207 269 2171
Job reference
JN-022026-6948130