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Treasury Administrator
Are you ready to step into an exciting new role where precision, pace, and purpose come together?
This Treasury Administrator opportunity offers the chance to play a key role in managing cashflow operations, processing client money movements, handling reconciliations, and coordinating financial transactions while working closely with internal teams and banking partners to ensure accuracy, control, and efficiency.
Key criteria:
- School leaver or graduate ready to launch a career, or someone with experience in finance, treasury, or legal
- Strong numerical skills and exceptional attention to detail (bookkeeping/CAT desirable)
- Understanding of financial processes or a strong willingness to learn
- Confident using Excel and financial systems
- Organised, proactive, and dependable approach
Open to both early-career talent and experienced candidates, this opportunity offers clear progression, hands-on learning, and a supportive environment, perfect for building a successful and rewarding career. Contact our team to find out more!