Cash Management Analyst – Treasury Forecasting & Operations

Company: Citi
Apply for the Cash Management Analyst – Treasury Forecasting & Operations
Location: Belfast
Job Description:

Citi is seeking an Operations Intermediate Analyst in Belfast to manage treasury cash funding and analyze data for cash forecasts. The role involves processing transactions, making process improvement recommendations, and collaborating with internal stakeholders to ensure data accuracy. A Bachelor’s degree in Business, Accounting, or Finance is required. Benefits include 27 days of holiday, performance bonuses, medical insurance, and various employee discounts.#J-18808-Ljbffr…

Posted: May 17th, 2026