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Specialist, Cash & Treasury Analytics
Posted 4 hours 31 minutes ago by NewDay Ltd
Specialist, Cash & Treasury Analytics page is loaded Specialist, Cash & Treasury Analytics Apply locations London time type Full time posted on Posted 10 Days Ago time left to apply End Date: June 27, 2025 (7 days left to apply) job requisition id
Externally, this role could also be know as: Cash Management Analyst, Cash Management & Treasury Analyst, Treasury Analyst
The core focus for this role for the first 12 months or so will be cash management, understanding how cash moves around the operation and how we fund receivables. You'll be working with Heads of FP&A's for different business verticals and you'll have the opportunity to present monthly to our CFO.
It's a small a small team with a flat hierarchy, with other new joiners already forecasting too.
What will you be doing day-to-day?
Cash & liquidity management:Oversee and optimise daily liquidity planning, short-term cash forecasting, and bank relationship management to ensure effective cash control and corporate compliance
Cash flow forecasting:Drive long-term integrated cash flow forecasting and funding strategies through budgeting, periodic reforecasting, performance analysis, and support for stress testing and scenario modelling
Funding:Support strategic funding planning and analysis in collaboration with the Director of Funding Markets, delivering insights on optimal debt issuance strategies to guide funding decisions
Lead Treasury projects, facilitate issue resolution and provide recommendations to senior colleagues
Support the investor relations process by leading the preparation of any Treasury specific analysis and material
Support implementation of Treasury IT infrastructure
Collaboratively work with colleagues in Funding and Reporting teams, as well as key partners within the wider Finance group
Skills and Experience
ESSENTIAL
Knowledge and experience of designing, executing and monitoring cash management within a Treasury team
Uses knowledge of cash management techniques to provide input and ideas for both medium and long term business strategies and direction, and continually reviewing these to determine when changes require amendments
Highly proficient in Excel, with experience building corporate level financial forecasting models in Excel, using a logical and analytical approach
Ability to generate commercial insight from raw data
DESIRABLE
Knowledge of how securitisation structures work
Ability to code in VBA
Experience with Anaplan or GTreasury
Externally, this role could also be know as: Cash Management Analyst, Cash Management & Treasury Analyst, Treasury Analyst
We work with Textio to make our job design and hiring inclusive.
Permanent About UsWe help people move forward with credit and help our colleagues to move their careers forward too.
Through innovative consumer credit and embedded finance products powered by groundbreaking technology, we deliver over 300 million transactions every year.
Our brands include Aqua, Marbles, Fluid, Bip and NewPay. We partner with leading brands such as AO, Argos, Boohoo, John Lewis andLloydsBank.
Over 5 million UK customers are supported by our award-winning customer service.
NewDay Ltd
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