Treasury Analyst in London, London
UK working eligibility only.
Job Summary:
We are working with a global hotel brand operating in major cities across the UK and Europe, focused on urban locations with high footfall. The business emphasises efficiency, scalability, and a tech-driven approach to hotel operations. It has a growing portfolio of properties, targeting both leisure and business travellers.
As the business expands across the UK and Europe, they are seeking a Treasury Analyst to manage treasury operations, including collections, cash applications, dispute resolution, and compliance. The role involves daily cash flow reporting, working with Accounts Payable, supporting the month-end close, assisting with audits, and providing cross-functional accounting support as needed.
Essential Functions:
- Effectively manage treasury operations.
- Assist with managing and building bank relationships.
- Maintain cash accounts in banking software.
- Update and report an accurate daily cash flow forecast to Finance Leadership.
- Manage day-to-day operational credit & risk assessment policy for customers/vendors.
- Develop strong internal controls and take ownership and complete special projects as required.
- Produce KPI results, review the accuracy of treasury operations reporting and communicate results to Finance leadership.
- Work with finance business partners on the integration of ERP systems to reduce manual processes.
- Participate and own treasury functions in any ERP integration – transition process
- Oversee the management of timely and accurate cash application.
- Manage customer collections, monitoring and reporting on timely payments, processing credits and resolution of past due or disputed amounts.
- Provide analysis, reporting and general ledger reconciliations to external auditors for audit engagements.
- Work in collaboration with internal team SMEs to establish best practices and develop SOPs.
- Provide other general accounting and related support as required.
Experiences/Skills:
- Bachelor’s degree with 3+ years in accounting, finance, or treasury.
- Proficient in MS Office; experience with Sage Intacct preferred.
- Strong IT, organisational, and problem-solving skills; detail-oriented and able to manage multiple tasks under tight deadlines.
- Effective communicator, collaborative team player with a positive attitude.
Voceer presents this job opportunity for COREcruitment, a 50 person sized company who are categorized as a Recruitment Agency.
This position is being managed by COREcruitment, a reputable recruitment agency known for placing candidates in desirable positions.