Strategic Treasury Analyst: Cash Flow & Liquidity
Listed on 2026-09-18
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Finance & Banking
Financial Analyst, Corporate Finance, Risk Manager/Analyst, Banking & Finance
Anthesis Group is seeking a Treasury Analyst in the United Kingdom to support Group Finance, FP&A, Tax, and operations with cash visibility and capital management.
The role focuses on monitoring cash across entities, managing liquidity, and ensuring compliance with treasury policies. You will work closely with finance teams to improve processes and implement treasury system enhancements.
We are looking to fill the Strategic Treasury Analyst:
Cash Flow & Liquidity position at Anthesis Group in United Kingdom.
The position is based in United Kingdom.
This opportunity is part of our work in Finance.
We aim to respond to suitable candidates as soon as possible.
Full responsibilities and requirements are described in the listing above.
Learn more about the Strategic Treasury Analyst:
Cash Flow & Liquidity role in the description above.
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