Cash & Treasury Operations Analyst 2 (12 month FTC)
Schroders • horsham, england • Posted June 13, 2026
About the Role
Job Description
Who we're looking for
We're looking for an Analyst to join our Cash and Treasury Operations. In this role you will have responsibility for a range of cash processing tasks, such as handling cash flows, fees/expenses and trade related FXs, as well as instructing cash movements at custody. Support externally managed cash and security movements such as STIF and collateral movements. Additionally, monitoring of overdrafts, overdraft interest and responding to cash related queries.
You will thrive in a fast-paced environment with an emphasis on meeting tight deadlines. A strong interest in learning and harnessing technology will help you with your role in the organisation.
You will be flexible, creative and curious enough to take on a challenge, rather than tick off set tasks on a to-do list.
We are looking for a Cash & Treasury Operations Analyst 2 to join our team on a Fixed Term contract for 12 months.