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Treasury Liquidity Analyst

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: Adecco
Part Time position
Listed on 2026-09-05
Job specializations:
  • Finance & Banking
    Financial Analyst, Risk Manager/Analyst, Financial Compliance, Banking Operations
Salary/Wage Range or Industry Benchmark: 92000 - 129000 GBP Yearly GBP 92000.00 129000.00 YEAR
Job Description & How to Apply Below
Location: Greater London

Job title:

Treasury Liquidity Analyst

Location:

London (2/3 days per week onsite)

Contract:

3 months initially with possible extension

Rate:
Competitive daily rate inside IR35

Exciting Opportunity!

Our client, a dynamic and innovative organisation in the financial services sector, is seeking a talented Cash Management & Liquidity Automation Analyst to join their team. This is a fantastic opportunity for an individual who thrives on optimising processes and embracing technology to transform cash management and treasury operations.

Role

Purpose:

The Cash Management & Liquidity Automation Analyst will play a crucial role in supporting the optimisation, automation, and transformation of cash management processes through data, workflow automation, and Artificial Intelligence (AI). The focus will be on improving the management of Nostro accounts, intraday liquidity, cash forecasting, payment flows, and liquidity controls.

Key Responsibilities:
  • Cash Management & Liquidity Analysis:

    - Analyse cash management workflows across Treasury and Operations.
  • - Monitor Nostro account funding processes and liquidity management activities.
  • - Identify opportunities for improving cash visibility and funding efficiency.
  • Nostro Account Management & Funding Optimisation:

    - Support monitoring of account balances and funding activities.
  • - Assist in the implementation of automated funding solutions.
  • - Help with reconciliation and control processes for cash accounts.
  • Platform Analysis:

    - Collaborate with technology teams to assess enhancement opportunities.
  • - Document business requirements and perform gap analyses.
  • - Evaluate AI capabilities that bolster liquidity optimisation.
  • Risk, Control & Governance:

    - Conduct operational risk assessments related to liquidity processes.
  • - Identify opportunities for enhancing cash controls and governance.
  • - Ensure solutions align with regulatory requirements.
Core Deliverables:
  • Cash flow analysis and intraday liquidity assessments.
  • Recommendations for funding optimisation and liquidity risk analysis.
  • Development of real-time cash visibility reporting and dashboards.
Knowledge & Experience

Required:

Essential:
  • Experience in Cash Management, Treasury Operations, or Liquidity Management.
  • Understanding of Nostro account management and funding processes.
  • Strong analytical skills and problem-solving capabilities.
Desirable:
  • Exposure to AI, automation, or workflow technologies.
  • Familiarity with treasury management systems and liquidity platforms.
  • Knowledge of cash reconciliations and liquidity regulations.

We use generative AI tools to support our candidate screening process. This helps us ensure a fair, consistent, and efficient experience for all applicants. Rest assured, all final decisions are made by our hiring team, and your application will be reviewed with care and attention.

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