We are seeking an experienced Senior Treasury Analyst to join our finance team. This key role will support the management of group liquidity, investment analysis and risk oversight, ensuring sound decision-making across the international business.
Key Responsibilities:
* Support day-to-day treasury operations, including cash forecasting and funding
* Execute FX and money market transactions
* Analyse financial data to produce reports and models for strategic planning
* Contribute to investment planning and compliance with treasury policies
* Assist in managing financial risk and regulatory processes
About You:
As a finance professional with 3-5 years of experience in treasury, financial analysis or investment operations, you possess strong analytical skills, proficiency in Excel and financial modelling, and experience working with treasury systems.
You hold a degree in Finance, Accounting or a related field, and ideally have or are open to pursuing a relevant professional qualification. You are a detail-oriented and proactive individual who is an excellent communicator able to clearly present financial insights and thrive in both independent and team-based work.