Shape balance sheet strategy and cash management within an international banking environment, while building your treasury expertise
The Role
A hands on position supporting Group Treasury with analysis reporting and daily operations
About You
You bring strong analytical capability, a collaborative mindset and a desire to grow in treasury and banking
The Reward
The Role
A hands on position supporting Group Treasury with analysis reporting and daily operations
- Prepare and present regular treasury reports for key internal stakeholders
- Collate, combine and analyse data from multiple sources to support decision making
- Prepare financial forecasts and maintain accurate transaction records
- Support cash management activities and day to day treasury operations
- Assist with risk management and adherence to internal policy and regulation
About You
You bring strong analytical capability, a collaborative mindset and a desire to grow in treasury and banking
- Background in finance or banking preferred
- Strong Microsoft Excel skills with wider Microsoft tools an advantage
- Understanding of foreign exchange and interest rate markets
- Highly organised with excellent attention to detail and ability to meet deadlines
- Confident communicator able to work autonomously and as part of a team
The Reward
- Structured opportunity to develop treasury and banking knowledge
- Exposure to balance sheet management within an international bank
- Broad stakeholder interaction across finance investment and external partners
- Support for continuous learning professional development and qualifications
- Values led culture focused on excellence integrity and innovation