Treasury Operations Analyst at Michael Page Finance
london, London - England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

23 Nov, 26

Salary

0.0

Posted On

25 Aug, 26

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

Yes

Skills

Industry

Financial Services & Insurance

Description

Michael Page PLC is a leading international specialist recruitment and business services organisation, with a global footprint spanning multiple continents and a highly respected brand that is firmly established within the FTSE 250.


The Group Treasury team is a dynamic, high-performing, and ambitious function that supports operations across 37 countries. We play a critical role in managing the Group's debt financing, liquidity, cash management, banking relationships, and funding requirements, ensuring the business remains well-positioned to achieve its strategic objectives

Description

  • Perform daily reconciliations of Treasury bank accounts within the Treasury Management System (FIS Integrity).
  • Conduct end-of-day foreign exchange validation checks.
  • Manage bank account administration, including mandates, board resolutions, account documentation, and ongoing KYC requirements.
  • Prepare monthly and quarterly Treasury reports for the Group Treasurer, Group Financial Controller, CFO, and Board of Directors.
  • Liaise with the Shared Service Centre and Group Finance teams to investigate and resolve any reporting discrepancies between the Treasury Management System (FIS Integrity), ERP system (NetSuite), and bank records.
  • Prepare quarterly balance sheet reconciliations and systems declaration reports.
  • Support Treasury projects and wider team initiatives, including payment developments relating to ISO 20022.
  • Assist the Assistant Treasurer with the management of the Group's Global Insurance Programme.
  • Maintain static data within the Treasury Management System (FIS Integrity), ensuring bank account information remains accurate and up to date.
  • Maintain and enhance Treasury back-office procedures, ensuring compliance with the Group Treasury Policy.
  • Proactively manage and resolve internal and external audit queries



Profile

  • 3-4 years' Treasury experience desirable, we are looking for someone keen to further their career in a Corporate Treasury function
  • Educated to degree level in Finance, Accounting or Economics
  • Part qualified accountant/AMCT with a desire to become fully qualified is an advantage
  • Knowledge of Treasury back-office activities and processes is desirable
  • Knowledge of Treasury systems including FIS Integrity, ICD, Finastra and HSBCnet is an advantage (nice to have)
  • Strong IT skills, including Microsoft Excel & PowerPoint required.

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Responsibilities
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