Senior Treasury Analyst
Greater London, London, Greater London, W1B, England, UK
Listed on 2026-09-26
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Finance & Banking
Financial Reporting, Corporate Finance
Condé Nast Overview
Condé Nast is one of the world's most renowned media publishing companies, creating and distributing every type of media today, spanning print and digital publishing in all formats. With a portfolio of some of today's most influential brands, the company continues to grow its audience through a global operational and content infrastructure across its 12 owned and operated markets. Headquartered in New York City, the company's owned and operated markets include China, France, Germany, India, Italy, Japan, Mexico & Latin America, Spain, Taiwan, UAE/Dubai, the U.K., and the U.S., with additional local license partners in over twenty additional markets across the globe.
Lead brands include Vogue, The New Yorker, GQ, Architectural Digest, Condé Nast Traveler, Vanity Fair, Wired, Allure, Ars Technica, Bon Appétit, House & Garden, Pitchfork, Tatler, and Vogue Business.
Job Description
Location:
London, GB
Condé Nast is a global media company producing the highest quality content with a footprint of more than 1 billion consumers in 32 territories through print, digital, video and social platforms. The company’s portfolio includes many of the world’s most respected and influential media properties including Vogue, Vanity Fair, Glamour, Self, GQ, The New Yorker, Condé Nast Traveler/Traveller, Allure, AD, Bon Appétit and Wired, among others.
We value diversity of background, views and cultures. We celebrate people for their personal qualities, skills and contributions, recognising the power our brands have to influence and shape culture.
Location:
London, UK | Job Type: Permanent | Work Model: 4 days in-office, WFH Fridays. Noteworthy benefits: strong corporate finance environment and work from-home Fridays.
Job Title:
Senior Treasury Analyst
We are seeking a precise and highly analytical Senior Treasury Analyst to drive our liquidity reporting and systems optimisation. In this role, you will hold operational ownership over our cash reporting and cash forecasting processes. As our key internal platform user, you will also plan, oversee and implement changes within the Kyriba Treasury Management System ("TMS") as required from time-to-time. This high-trust position requires a dependable professional who can also step in to provide ad-hoc investment and payment approval coverage during holiday periods.
Key Responsibilities- Lead and refine the 10-weeks cash forecasting process, identifying variances and collaborating with business units to improve accuracy.
- Perform Liquidity Monitoring and working capital analysis and coordinate optimal funding positions across various group entities.
- Support daily global cash positioning and cash reporting, ensuring complete visibility of liquidity across all banking partners.
- Act as the internal functional holder, and proficient user, for the Kyriba TMS.
- Oversee, test, and implement system modifications, workflow adjustments, and new module configurations.
- Create and manage custom reporting layouts, automated bank statements, and tracking tools within Kyriba TMS.
- Maintain a high level of reliability and compliance awareness to act as an authorised dealer for corporate investments (and treasury transactions) strictly as a holiday or emergency back-up.
- Ensure all daily operations strictly adhere to internal audit controls, treasury policies, and fraud-prevention frameworks.
- Minimum 3-5 years of progressive experience in corporate treasury, specifically focused on cash management.
- Advanced and hands-on administrative capability within banking platforms (e.g. BofA Cash Pro) and the Kyriba TMS platform.
- Proven experience building, maintaining, and analysing cash…
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