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We’re looking for a Senior Liquidity Planning Analyst to join our Group Treasury team. This role will support the development and embedding of a Groupwide Liquidity Planning & Analysis Framework which will help to improve cash visibility, liquidity forecasting, reporting and decision-making across the Group.
You’ll work closely with Divisional colleagues across the Group to standardise approaches, improve data quality, strengthen controls and provide clear insight to support effective liquidity management.
This role would be ideal for someone with previous experience working in liquidity, or a closely related Finance, Risk or Actuarial role who enjoys combining technical analysis with stakeholder engagement and practical process improvement work.
This is a hybrid working opportunity, which will allow you to work flexibly between your home ...