Treasury Analyst, Asset and Liability Management
As our Treasury Analyst, you will act as a key member of the team by supporting the establishment of secured funding transactions for our European business. You will analyse funding structures and business performance data as well as working with internal partners to deliver improvements in data flows and reporting processes.
The role will also include the analysis of business unit performance data and the preparation of presentation decks for use by senior management in presentations to rating agencies, bank counterparts and investors; and will involve interaction with a wide range of stakeholders.
This is an opportunity to develop a deep understanding of Asset Liability Management activities with a European-wide organisation.
What we’re looking for
It is important that you are able to analyse business performance data and interpret complex financial transactions, therefore experience in a similar role such as corporate treasury, finance or accounting position is required in addition to a relevant qualification.
This role requires a high level of analytical ability and confidence in using Excel and PowerPoint. You will be able to maintain excellent levels of accuracy within tight time constraints, demonstrating efficient organisational skills. The ability to communicate effectively with people at all levels is important, alongside strong team work ethic.
You’ll have a natural drive to succeed and have able to use your initiative to solve complex problems with the interpersonal skills to discuss ideas and outcomes from data analysis.
What’s on offer for you?
A competitive salary
25 days holiday (buy/sell available)
X4 life assurance
Vauxhall Lease Scheme
Excellent pension scheme
Please note that all offers are subject to a credit check.