Job description
Job Title: Junior Treasury Analyst
Working Pattern: Monday to Friday (09:00-17:00)
Salary: £25,000 - £30,000 + up to 20% bonus + benefits
Location: London (hybrid working)
About Tandem
We're Tandem. The UK's fairer, greener, digital bank providing hard working people across the UK with sustainable ways to borrow and save. With more than 500 people in London, Blackpool, Cardiff, Durham, and Manchester, all working together to create a fairer, greener, more accessible bank for people across the UK.
We're on a mission to proactively help our customers to reduce their carbon footprint and accelerate the UK to net-zero carbon emissions by 2050 and we need more people to help us achieve this goal.
We've taken the beliefs, behaviours, and personality and created four underpinning values. These values demonstrate our guiding principles and behaviours for everyone at Tandem. Our ambition is that these values are ingrained and always front of mind when we're engaging with our stakeholder audiences. Our values are BRAVE, ENTERPRISING, SIMPLE and TOGETHER.
Your Role
We're building an amazing team and we're looking for a hardworking and driven Junior Treasury Analyst to support us on our journey.
You'll be responsible for supporting the business strategy by executing Treasury transactions as instructed by the Treasury team, development of the Bank's liquidity Regulatory Reporting and supporting the creation and development of Management Information across Treasury responsibilities.
Our Team
Tandem Bank's Treasury Function is a small risk management unit whose purpose is to allow the Bank to grow safely in a controlled manner while managing its funding base in a prudent, cost-efficient way. The role as Junior Treasury Analyst will see you working with all areas of the business, giving you an unparalleled view of how a small Bank works. You will be joining the Bank at an exciting point in its evolution as it looks to grow its Balance Sheet significantly in the coming years. This growth will inevitably lead to opportunities to develop yourself quickly while becoming a leading voice in both a close-knit Treasury team and the larger Finance function.
What you will be working on:
- The successful candidate will be responsible for the following:
- The execution of all external trading and cash management as instructed by the Head of Treasury within the risk and control framework parameters.
- To enhance the process and control framework relating to cash management and reporting.
- Enhancing Treasury Management Information provided to ALCO and Risk Committee and improving the overarching Governance framework
- Development and maintenance of Liquidity Regulatory Reporting
- Working on ad hoc projects
What we're looking for:
- Will have graduated from an analytical degree course with at least a 2.1;
- Has experience using Microsoft Excel;
- Can demonstrate experience of picking up new concepts quickly and a desire to embark on a career in Banking Finance or Treasury; and
- Previous experience operating within or with a Treasury function or other Financial Services company would be desirable but not essential
Benefits
Our rewards are getting a big update, with enhancements due to land in early 2023!
Current Rewards
- 25 days annual leave plus 8 days bank holiday
- 1 day off for your birthday
- Electric Vehicle scheme
- Cycle to work scheme and a free helmet
- Perkbox for treats and discounts
- Pension contribution
- 2 days per year paid volunteering
Take part in our Green Deal
- Volunteer 2 days a week for charity > receive an early Friday finish
- Raise £200 per annum for charity > Tandem provide PR and marketing support
- Have renewable energy at home > receive an additional 1-day annual leave
- Drive a lower emissions or hybrid car > free raffle entries with the chance to win a weekend away for 2
- Drive an electric car > receive £500 towards a home charger
Job Type: Full-time