Found Description
We are hiring a Junior Treasury Analyst to support daily liquidity, cash positioning, and reconciliation across our banking and payment partners. You will sit at the operational core of the treasury function, where money movement, regulatory safeguarding, and multi-currency settlement come together.
Success in this position means the business always has accurate daily visibility of its cash, reconciliations are clean and timely, corridors are funded without disruption, and the data feeding our liquidity forecasts is reliable. Within six months you will own the daily cash position process end to end and be a trusted point of reference for treasury data across the company.
The role reports into the treasury function and works closely with FP&A, operations, accounting, and our external/ internal partners. It is a strong entry point for someone who wants to build a career in treasury or payments inside a regulated financial environme...