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Altair Ltd

Analyst - Corporate Finance & Treasury

London
Posted about 19 hours ago
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Company Description

Altair Ltd is a consultancy that enables positive change for socially focused organizations through insight and innovation. The team works with housing providers, local authorities, charities, sports bodies, and educational institutions across the UK and internationally, helping them increase their impact on people and places. Altair combines deep industry expertise with a strong understanding of fast-paced operating environments to deliver practical, strategic support. The company brings together specialists in corporate finance and treasury, development and regeneration, governance, asset management, people and HR, community impact, transformation, and technology. Altair’s mission is to help clients achieve sustainable growth, innovation, and long-term impact aligned with their purpose.

Role Description

This full-time, remote Analyst – Corporate Finance & Treasury role supports client engagements focused on financial strategy, funding, and treasury management. The analyst will assist in preparing, reviewing, and interpreting financial statements and reports, providing clear insights and recommendations to internal teams and clients. Day-to-day activities include:

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  • Building and maintaining financial models
  • Supporting financial planning and forecasting
  • Contributing to the evaluation of investment and funding options

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The role involves conducting quantitative and qualitative analysis on client organizations, markets, and funding structures to inform strategic advice. The analyst will collaborate with consultants and senior team members, contribute to presentations and client deliverables, and help ensure high-quality, timely outputs that support positive change for Altair’s clients.

Qualifications

  • Strong analytical skills with the ability to interpret complex data, identify trends, and draw clear conclusions.
  • Solid foundation in finance and financial planning, including budgeting, forecasting, and capital planning.
  • Ability to work confidently with financial statements and reports, ensuring accuracy and clarity in analysis.
  • Experience in building and using financial models to support decision-making and scenario analysis.
  • Bachelor’s degree in finance, economics, accounting, business, or a related field (or equivalent experience).
  • Proficiency in Excel and other relevant analytical tools; familiarity with financial or treasury systems is an advantage.
  • Strong written and verbal communication skills, with the ability to explain financial concepts to non-specialist audiences.
  • Organized, detail-oriented, and comfortable managing multiple remote work priorities and deadlines.
  • Interest in or experience with socially focused organizations, public sector, housing, or related fields is beneficial.
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Location

London, England, United Kingdom

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