Job Description
At #TropicanaBrandsGroup we are passionate about nourishing & delighting our consumers, one sip at a time.
Our great finance team is looking for a Treasury analyst !
We are seeking a motivated and detail-oriented Treasury Analyst to join our Finance team. Working within the Europe FP&A team, this role is central to managing daily liquidity, optimizing cash flows, supporting working capital and free cash flow (WC/FCF) reporting, ensuring accuracy in cash forecasting and development of reporting to present to finance leadership team. The ideal candidate will have a strong understanding of treasury operations and be proactive in collaborating with cross-functional stakeholders including Commercial, Supply Chain, Tax, Payroll, and Accounting.
Though predominately focused on treasury, we are looking for a versatile individual who’s keen to get stuck in to other areas of FP&A.
In this role, you will focus on:
Cash Positioning and Forecasting
Update and review daily cash positioning to ensure optimal liquidity across bank accounts and entities.
Prepare and maintain rolling short (1-4 weeks) and long-term cash forecasts:
Collect input from AR, AP, Controllers, Tax, and Payroll teams.
Analyze projected cash balances daily.
Identify shortfalls or surpluses to support decision-making.
Treasury Operations
Review and approve manual payment requests to ensure compliance with policy and cash flow availability.
Manage FX trades to maintain liquidity in several currencies
Maintain and build strong relationships with banking partners; handle account administration, KYC, and onboarding/offboarding needs.
Collaborate with shared services teams on Treasury-related transactions, settlements, and reconciliations.
Reporting & Analysis
Deliver insights and variance explanations on Treasury-related metrics to Finance leadership.
Lead or participate in weekly Treasury calls focused on:
Cash collection status.
Payment scheduling.
Treasury-related updates and cross-team collaboration.
Ownership of Working Capital and Free Cash Flow (WC/FCF) analysis and reporting.
Projects & Support
Participate in IT development projects relevant to Treasury tools and automation initiatives.
Support overall FP&A team on reporting and ah-hoc tasks/projects
This list covers the main duties you will undertake but other duties will be required and added to as required to meet project and business needs. Flexibility to support the business is essential to the role.
💡 Quick Summary
Seeking a career-building opportunity? The Treasury Analyst - Finance position is now open for candidates interested in the Accountant Jobs sector. This role in London offers a professional environment and growth potential.
Requirement Snapshot: Candidates should possess basic communication skills, a proactive attitude, and the ability to work in a team. Experience in Accountant Jobs is a plus.
