Senior Group Treasury Analyst

at  Michael Page

Manchester, England, United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate27 Apr, 2025GBP 260 Annual28 Jan, 20252 year(s) or aboveGood communication skillsNoNo
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Description:

  • An exciting opportunity to join a well established law firm.
  • Offering great benefits including hybrid working arrangements.

JOB DESCRIPTION

Key responsibilities for the Senior Group Analyst role:

  • Maintain and update bank account records, ensuring the accuracy of the banking master database.
  • Oversee the process of opening and closing bank accounts in collaboration with primary banking partners.
  • Manage KYC updates and annual refreshes with banking partners to ensure ongoing compliance.
  • Update and maintain bank mandates, including authorised signatories.
  • Administer and control user access profiles within banking portals for all employees.
  • Perform daily cash management tasks, working closely with the payments team to facilitate inter-account sweeps and ensure efficient cash handling.
  • Support various treasury transformation initiatives, including bank rationalisation and the implementation of the Treasury Management System (TMS).
  • Manage facility drawdowns, repayments, and associated interest payments.
  • Prepare and consolidate weekly and monthly cash flow forecasts for senior management reporting.

Responsibilities:

  • Maintain and update bank account records, ensuring the accuracy of the banking master database.
  • Oversee the process of opening and closing bank accounts in collaboration with primary banking partners.
  • Manage KYC updates and annual refreshes with banking partners to ensure ongoing compliance.
  • Update and maintain bank mandates, including authorised signatories.
  • Administer and control user access profiles within banking portals for all employees.
  • Perform daily cash management tasks, working closely with the payments team to facilitate inter-account sweeps and ensure efficient cash handling.
  • Support various treasury transformation initiatives, including bank rationalisation and the implementation of the Treasury Management System (TMS).
  • Manage facility drawdowns, repayments, and associated interest payments.
  • Prepare and consolidate weekly and monthly cash flow forecasts for senior management reporting


REQUIREMENT SUMMARY

Min:2.0Max:7.0 year(s)

Accounting

Accounts / Finance / Tax / CS / Audit

Accounts Management

Graduate

Proficient

1

Manchester, United Kingdom