Treasury Analyst
Leading Real Estate Business | £50,000 + benefits | London (Hybrid)
A leading real estate organisation is hiring a Treasury Analyst to support its growing treasury function within a capital-intensive, asset-backed environment.
This role offers strong exposure to cash management, debt, funding and financial risk, working closely with senior finance leadership and external banking partners.
The Opportunity
You’ll join an established treasury team supporting day-to-day operations alongside longer-term funding and process improvement initiatives.
This role suits an analytically minded treasury or finance professional looking to deepen their exposure in a real estate or investment-driven business.
Key Responsibilities
• Daily cash positioning and liquidity reporting
• Support cash flow forecasting and funding requirements
• Assist with bank relationship management and reporting
• Support debt administration, interest payments and covenant tracking
• Help improve treasury processes, controls and reporting
• Assist with FX and financial risk management activity
• Partner with Finance, Tax and Operations teams
The Profile
You will bring:
• Experience in treasury, finance or accounting roles
• Strong analytical and Excel skills
• Interest in real estate, infrastructure or asset-heavy sectors
• A detail-driven, control-focused mindset
• Confidence working with senior stakeholders
• Studying or qualified (ACT / ACA / ACCA / CIMA preferred)
Why This Role Stands Out
• Excellent entry-to-mid-level treasury role in real estate
• Exposure to funding, debt and liquidity
• Strong development and career progression
• Hybrid working
• Competitive salary: £50,000 + benefits
Apply now to build your treasury career in a high-profile real estate environment.