We are delighted to be supporting a fast-growing fintech global insurance broker in their search for an International Treasury Analyst to join our client’s London-based Treasury team. This is a broad, hands-on role ideal for someone with 1+ year of Treasury experience looking to grow their skills in international cash management, FX, forecasting, and treasury systems.
You’ll manage daily funding, FX trades, and payments across global entities, support 13-week cash flow forecasting, and assist with key projects across M&A, systems integration, and finance transformation. You’ll work closely with both international and US-based teams.
The Role
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Manage daily cash positioning, FX, and global funding
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Support weekly and monthly cash flow forecasts
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Process treasury payments and manage banking queries
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Assist with automation, system integrations, and strategic projects
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Collaborate with international Finance, M&A, and Treasury teams
The Candidate
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1+ year of treasury experience
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Strong Excel and analytical skills
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Excellent communicator and team player
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Highly organised and proactive
How to Apply
If you’re a treasury professional ready to make a significant impact in a fast-paced, collaborative environment, we’d love to hear from you. Send your CV to Katie Hardie katie@treasuryrecruitment.com or call +44 203 084 9838 to discuss further.