Interim Treasury Analyst
other jobs HFG
Added before 2 Days
- England,London,City of London
- Full Time, Temporary
- £500 - £600 per day, negotiable
Job Description:
Role: Interim Treasury Analyst (6-9 Month Contract)Location: London (City / Hybrid) Rate: Competitive £500 - 600 Day Rate (Inside IR35) Start Date: Immediate / Short Notice
The OpportunityA prominent specialty insurer is seeking an experienced Treasury Analyst for a 6 to 9-month interim assignment. This is a critical hire to support the Head of Treasury during a period of active liquidity management and reporting.
Due to the nature of the project, we require a candidate who can hit the ground running and add value from day one.
Key Responsibilities*Liquidity Monitoring: Manage daily bank transactions across various operational and funding accounts.
*Complex Reconciliations: Perform daily and monthly bank reconciliations, ensuring the timely resolution of all exceptions and reconciling items.
*Funding & Capital: Support the execution of funding movements, intra-group transfers, and capital injections/dividends.
*Reporting: Update daily cash position reports and assist in producing monthly/quarterly packs for the Board and Investment Committees.
*Audit Support: Act as a key point of contact for internal and external audit queries relating to treasury documentation and controls.
Technical Requirements*Availability: Must be able to start immediately or within short notice
*Experience: Previous experience in a dedicated Treasury or Finance Operations role is essential.
*Sector Knowledge: Experience within Insurance or a highly regulated Financial Services environment is strongly preferred.
*Systems: Proficiency with online banking platforms and Treasury Management Systems (TMS).
*Skills: Strong Excel skills and a methodical, process-driven approach to cash forecasting and funding analysis.
The OpportunityA prominent specialty insurer is seeking an experienced Treasury Analyst for a 6 to 9-month interim assignment. This is a critical hire to support the Head of Treasury during a period of active liquidity management and reporting.
Due to the nature of the project, we require a candidate who can hit the ground running and add value from day one.
Key Responsibilities*Liquidity Monitoring: Manage daily bank transactions across various operational and funding accounts.
*Complex Reconciliations: Perform daily and monthly bank reconciliations, ensuring the timely resolution of all exceptions and reconciling items.
*Funding & Capital: Support the execution of funding movements, intra-group transfers, and capital injections/dividends.
*Reporting: Update daily cash position reports and assist in producing monthly/quarterly packs for the Board and Investment Committees.
*Audit Support: Act as a key point of contact for internal and external audit queries relating to treasury documentation and controls.
Technical Requirements*Availability: Must be able to start immediately or within short notice
*Experience: Previous experience in a dedicated Treasury or Finance Operations role is essential.
*Sector Knowledge: Experience within Insurance or a highly regulated Financial Services environment is strongly preferred.
*Systems: Proficiency with online banking platforms and Treasury Management Systems (TMS).
*Skills: Strong Excel skills and a methodical, process-driven approach to cash forecasting and funding analysis.
Job number 3727810
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