Treasury/Finance analyst

Company: Arthur Recruitment
Apply for the Treasury/Finance analyst
Location: Greater London
Job Description:

Arthur are working with a highly reputable Lloyd’s of London firm that are looking to expand their finance team.

Key Responsibilities

  • Liquidity Cash flow monitoring (past and future), Internal reporting to Risk and senior management Contact point and admin for Performance Oversight Working Group
  • Banking Facility Oversight and Management Ensure paperwork and covenants are up to date Internal reporting to Risk and senior management
  • Projects Manage the delivery of cross syndicate projects across the business and ensuring actions are completed and followed up.
  • Supporting Syndicate Reporting To provide support to the team, as required, to meet Lloyd’s submission deadlines
  • Onboarding Liaise with Business Development for the financials of (prospective) new clients Liaise with banks to ensure documentation and Know your Customer (KYC) completion runs smoothly
  • Expenses and Interest Liaise with Syndicate Accountants to provide monthly expense and investment return reports to management
  • Providing Non-Tech balances to Ops for use in internal board summaries
  • Banking Admin Main point of contact for online banking enquiries

Skills, Knowledge & Expertise

  • Excellent understanding and knowledge of fundamental accounting principles.
  • Qualified in a professional qualification or qualified by experience is preferable.
  • Familiarity and experience of Insurance or company analysis. With an FP&A or Treasury background.
  • Excellent knowledge of IT systems including Excel, Vision and Sun Accounts.
  • Highly numerate and ability to produce consistently accurate and analytical work to tight deadlines
  • Strong communication skills both verbally and in writing.

If you are interested in this role, please apply below or email me at jake.hennis@arthur.co.uk

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Posted: April 10th, 2026