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Magnit Global

Cash Management Analyst

London
£40 – £50/hr
Posted about 20 hours ago
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Cash Management Analyst | Global Banking Organisation

12 month contract | £350 - £450 per day
6 month contract | London, 3 days in the office

We are looking for an experienced Cash Management Analyst to join a leading global investment bank in London, supporting day-to-day liquidity, cash positioning and treasury operations across its European business.

The role will work closely with Front Office teams to ensure appropriate liquidity is available across multiple currencies and that key treasury transactions are processed and settled accurately and on time.

This would suit a Treasury Operations professional with around 2+ years' relevant experience looking to join a major international banking environment.

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I’m in my final year doing Economics and I don’t know whether to apply for grad schemes now or do a masters first. What do you think?

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Graduate Consultant — 2026 Scheme

PwC·London, UK
£35,000/yr

Why you're a good match

Strong

Your economics background and your summer at a regional bank line up with what PwC looks for on the consulting scheme. Applications close in four weeks.

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Why you're a good match

You’ve got the grades and the economics background, and your bank internship is exactly the experience this scheme looks for. Apply soon — deadlines close within the month.

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Experience fit

Your summer at the bank plus your econometrics coursework map directly to the day-one responsibilities on this scheme — client modelling, market briefings, and deal support.

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Key responsibilities:

  • Manage and monitor GBP and EUR liquidity positions
  • Support USD and minor currency cash positioning
  • Process Certificates of Deposit (CDs) from issuance through to maturity
  • Support Treasury / Front Office activity
  • Support settlement of fixed income and bond lending transactions
  • Support settlement of EUR and GBP CLS net positions
  • Monitor payments and clearing activity and resolve operational issues
  • Maintain strong operational controls, procedures and regulatory compliance

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Experience required:

  • Previous experience within Treasury Operations, Cash Management or Liquidity Management
  • Good understanding of cash positioning and payment/clearing processes
  • Experience with SWIFT and European clearing systems such as T2/TARGET2 and EBA
  • Certificate of Deposit experience would be highly desirable
  • Knowledge of CLS and Intellimatch would be advantageous
  • Strong Excel skills and excellent attention to detail
  • Previous experience within a banking or financial markets environment
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Skills

Cash Management
Liquidity Management
Treasury Operations
Cash Positioning
Certificate of Deposit Processing
Fixed Income Settlement
Bond Lending Settlement
CLS
Intellimatch
SWIFT
T2/TARGET2
EBA
Excel
Financial Markets
Regulatory Compliance
Payment Clearing

Location

London, England, United Kingdom

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