img
Permanent

Senior Treasury Analyst

Michael Page Finance
West Midlands
money-bag £10000 - £500000 Annual
Posted: 06 October 2026 (Yesterday)
Closing date: 05 November 2026
Ref: 3187180402

Support global cash management, liquidity, forecasting, FX, banking and treasury operations while working on process improvement. Client Details Opportunity to join a global market-leading industrial business with a strong international presence. Description Manage global cash and liquidity positions, ensuring funding is available across regions and entities. Produce and maintain short and long-term cash flow forecasts to support business planning and decision-making. Execute FX transactions, monitor currency exposures, and support hedging activities to mitigate risk. Support the management of debt facilities, banking relationships, covenant compliance, and surplus cash investments. Prepare treasury reporting and analysis, providing insights to support senior management decisions. Maintain and enhance the Treasury Management System, driving automation, operational efficiency, and data integrity. Improve treasury processes and controls while ensuring compliance with policies, governance requirements, and audit standards. Profile Experience in Treasury, Cash Management, Banking or Corporate Finance, ideally within a multinational environment ACT, ACA, ACCA, CFA, or similar professional qualification preferred (or studying towards). Strong understanding of cash management, liquidity forecasting, treasury operations, FX risk management and financial markets. Hands-on experience with treasury systems, bank account management, payments, cash pooling structures, and advanced ..... full job details .....

Perform a fresh search...

  • Create your ideal job search criteria by
    completing our quick and simple form and
    receive daily job alerts tailored to you!

Jobs. Straight to your inbox!