A Treasury Analyst role within Legal & General's Affordable Homes business, focusing on supporting the Treasury Manager with operational treasury management tasks. The position involves managing cash flows, financial controls, and contributing to the company's mission of providing affordable housing solutions.
Primary responsibilities include assisting with cash management processes, preparing weekly cash flow forecasts, managing revolving credit facilities, conducting variance analyses of capital expenditures, and supporting liquidity management across companies.
Required experience includes a relevant financial degree, progression towards ACT qualification, strong analytical and problem-solving skills, advanced Excel capabilities, understanding of treasury policies, and experience in corporate treasury, preferably in construction or housing environments.
The role offers competitive benefits including annual performance bonuses, share schemes, generous pension contributions, life assurance, private medical insurance, flexible working arrangements, electric car scheme, and opportunities for professional development in a dynamic and innovative financial services organization.