Treasury Senior Analyst
On-siteLondon, England, United Kingdom
Job Summary
Senior Analyst in Equinix’s European regional treasury team responsible for cash and liquidity management, intercompany funding, intercompany guarantees, and treasury reporting across multiple entities and currencies. The role involves monitoring daily cash positions, executing cash pooling, identifying funding gaps, managing intercompany loan facilities, keeping accurate intercompany records, and supporting intragroup guarantee administration. You will work with large datasets, automate manual processes, and collaborate with finance, legal, and tax teams across jurisdictions. Preferred capabilities include strong Excel modeling, experience with treasury management systems (Kyriba, Reval or equivalent), and proficiency in BI/data tools (Power BI, Tableau, SQL). A proactive, detail-oriented communicator who can translate complex treasury data into clear insights is ideal, with comfort operating in a matrixed, international organization and openness to growth as the business scales. The role emphasizes data-driven decision support, cross-jurisdictional collaboration, and the application of analytical skills to treasury operations in a multi-entity, cross-border environment.
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