We are partnering with an up-and-coming FinTech who are looking for a Treasury Analyst to join their treasury function and assist with their back office operations. This is a newly created role that’s comes about due to double digit growth in the business.
Reporting into the Treasury Controller, you will be mostly or fully qualified accountant (ACA/ACCA/CIMA) with back office experience in a banking or financial services firm’s treasury function.
They are offering a competitive package with flexible WFH arrangements.
Key responsibilities include:
• Managing daily cash and forecasting
• Execute FX Hedging transactions
• Managing bank accounts and external relationships
• Responsible for payments and reconciliations
If you are interested, please apply ASAP.