Cash Support Analyst
Hybrid · London, England, United Kingdom
Job Summary
Cash Operations Analyst who supports processing, monitoring, and reporting of portfolio cash activities, including cash flow notifications, control checks, daily liquidity positions and forecasts, and FX exposure monitoring. The role involves collaborating with global teams within a hybrid working arrangement in London and contributing to a structured control framework and timely, accurate cash operations. Key skills include strong attention to detail, understanding of financial markets, analytical and problem-solving abilities, and clear communication in a team environment. The role also highlights exposure to FX hedging processes and participation in regulatory obligations and comprehensive benefits and professional development opportunities.
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