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Treasury Analyst
- To be advised
- Permanent, Full Time
- Closing in 54 days
- Search and Select Recruitment Agency
Our client seeks a Treasury Analyst to join their dynamic Treasury team. You'll play a key role in managing the balance sheet, supporting cash management for the investment business, and contributing to strategic financial decision-making. With a strong focus on integrity and innovation, this role provides a supportive environment to develop your expertise in treasury and banking, gain exposure to global markets, and make a meaningful impact within a forward-thinking, growth-oriented organisation. Key Responsibilities: Prepare and present regular Treasury Reports to Key Internal Stakeholders. Prepare data for analysis, by collating and combining information from different sources. Prepare financial forecasts. Document transactions and maintain record keeping. Develop knowledge of cash management. Support the Treasury team with day-to-day operations, through the preparation of a variety of instruction forms. Support relationships with external stakeholders. Liaise with clients to discuss the Group's products and services. Aid in the management of key sector risks and strict adherence to internal policies. Key Skills and Experience: A previous role in Finance or Banking is preferred, but not essential. Strong knowledge of Microsoft Excel - familiarity with other Microsoft products would be helpful, such as Word, PowerPoint and PowerBI. An understanding of foreign exchange and interest rate markets. Proven ability to work as part of a team. Good attention to detail and accuracy. Strong organisational skills and ability to prioritise workloads to achieve deadlines. Able to work autonomously where required. Strong client communication skills. Willingness to develop knowledge and expand role and responsibilities. Ability to communicate ideas and issues in a clear and concise manner.
If you have the required skills please apply online at searchandselect.com quoting reference number: 16492