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Treasury Analyst: Cash Management & Liquidity (Hybrid
Job Description & How to Apply Below
Thames Water is seeking a Treasury Analyst in Reading (Hybrid) to join our front office Treasury team. You will gain exposure to liquidity management for a Group with debt obligations of over £14bn, and an active derivatives portfolio, reporting to the Assistant Treasurer.
You’ll support daily cash management, forecasting, risk analysis, and automation initiatives, collaborating with Treasury colleagues and other stakeholders to uphold governance and efficiency.
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