Strategic Treasury Analyst — Cash Flow & FX (London, 6m)

Company: Michael Page
Apply for the Strategic Treasury Analyst — Cash Flow & FX (London, 6m)
Location: London
Job Description:

Michael Page in London is seeking a Treasury Analyst to manage cash flow, monitor risks, and support treasury operations in the financial services sector.

You will analyse liquidity, oversee FX and interest‑rate risk, and help prepare treasury reports and forecasts while maintaining relationships with banks.

The role involves debt management, account reconciliations, cross‑team collaboration, and contributing to system improvements.

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Posted: September 22nd, 2026