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Brambles

Senior Treasury Operations and Systems Analyst

London
Posted about 14 hours ago
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CHEP helps move more goods to more people, in more places than any other organization on earth via our 347 million pallets, crates, and containers. We employ approximately 13,000 people and operate in 60 countries. Through our pioneering and sustainable share-and-reuse business model, the world’s biggest brands trust us to help them transport their goods more efficiently, safely, and with less environmental impact.

What does that mean for you? You’ll join an international organization big enough to take you anywhere, and small enough to get you there sooner. You’ll help change how goods get to market and contribute to global sustainability. You’ll be empowered to bring your authentic self to work and be surrounded by diverse and driven professionals. And you can maximize your work-life balance and flexibility through our Hybrid Work Model.

Job Description

Key Responsibilities May Include:

  • Oversee and ensure the efficient maintenance of bank accounts, cash pools, and related treasury systems, ensuring data accuracy and compliance with regional and global standards.
  • Support the optimization of transactional banking activities within the region, identifying opportunities to improve processes and reduce costs.
  • Provide regular cash flow actuals and forecast analysis, identifying key trends and insights to support business decision-making.
  • Manage banking relationships and ensure the regional banking structure supports operational needs while meeting strategic objectives.
  • Assist in the coordination and execution of treasury-related projects, both operational and strategic, to support regional goals.
  • Ensure accurate and timely reporting of all treasury activities, including bank costs and transactional information.
  • Collaborate with internal stakeholders, such as other finance and procurement teams, to ensure alignment of treasury activities with broader business objectives.
  • Participate in process improvement initiatives, driving efficiency in regional treasury operations and ensuring alignment with global treasury strategies.

Senior Treasury Operations and Systems Analyst

Location: London or Weybridge (hybrid – 1 or 2 days)

Type: Full time, Permanent

Join a high-performing global Treasury team and play a key role in ensuring cash is in the right place, at the right time, across a complex international business operating in more than 60 countries! This is an excellent opportunity for an ambitious Treasury Analyst who is eager to learn, challenge the status quo, and accelerate their career within a global treasury environment. You'll gain broad exposure across treasury operations, cash management, foreign exchange, banking relationships, treasury systems, and transformation projects, including involvement in a major Treasury Management System implementation.

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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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We're looking for someone who is naturally curious, proactive, and driven to improve processes. You'll be encouraged to take ownership, develop your technical expertise, and build the skills needed to progress into more senior treasury roles over time.

🔍 What You’ll Do

  • Managing day-to-day cash management and liquidity activities across multiple countries and entities.
  • Monitoring global cash positions and ensuring funds are available where and when they are needed.
  • Supporting the movement of cash across international markets while navigating banking and regulatory requirements.
  • Ensuring sufficient liquidity for key operational activities, including payroll, supplier payments, and working capital requirements.
  • Minimizing idle cash and identifying opportunities to improve cash visibility and efficiency.
  • Partnering with internal stakeholders, banks, and external providers to support treasury operations.
  • Contributing to treasury transformation initiatives and the ongoing development of treasury systems and processes.

🎯 What We’re Looking For

  • 3+ years of treasury experience within a Treasury Analyst or similar Treasury role.
  • Strong understanding of cash management, liquidity forecasting, and global cash positioning.
  • Experience using Treasury Management Systems and an appreciation of how treasury technology supports operational efficiency and control.
  • Knowledge of foreign exchange and multi-currency treasury operations.
  • Experience working within a global, matrixed organization, collaborating with stakeholders across multiple countries and functions.
  • Bachelor's degree or equivalent qualification preferred.

🌍 Why Join Brambles?

  • Be part of a global leader in supply chain solutions.
  • Truly global exposure across more than 60 countries and multiple legal entities.
  • Rare opportunity to broaden your treasury expertise and take on increasing responsibility.
  • Involvement in impactful projects.
  • Clear development opportunities within a collaborative and supportive treasury team.
  • Exposure to a wide range of treasury disciplines, creating an exceptional platform for long-term career growth.

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💼 What’s in It for You?

  • Certified Top 17 Global Employers.
  • Competitive salary and annual bonus (typically 10%).
  • Professional development support, including ACT study assistance where applicable.
  • Generous Share Scheme.
  • Private healthcare.
  • Hybrid working options.
  • 25 days holiday + statutory holidays, with the option to buy/sell 5 additional days.
  • Up to 7.5% company pension.
  • Life Assurance.
  • Employee Assistance Programme.
  • Numerous retail discounts.

✨ Ready to Apply?

Submit your up-to-date CV tailored to this opportunity. We look forward to hearing from you!

Brambles is an inclusive employer. We want every candidate to perform at their best throughout the application and interview process, and while at work. If you require any reasonable adjustments, please inform your Talent Acquisition Partner.

Remote Type Hybrid Remote

Skills to succeed in the role

  • Adaptability
  • Bank Reconciliations
  • Cash Flow Management
  • Empathy
  • Experimentation
  • Financial Analysis
  • Taking Ownership
  • Teamwork
  • Treasury Management
  • Understand Customers

We are an Equal Opportunity Employer, and we are committed to developing a diverse workforce in which everyone is treated fairly, with respect, and has the opportunity to contribute to business success while realizing his or her potential. This means harnessing the unique skills and experience that each individual brings, and we do not discriminate against any employee or applicant for employment because of race, color, sex, age, national origin, religion, sexual orientation, gender identity, status as a veteran, and basis of disability or any other federal, state, or local protected class.

Individuals fraudulently misrepresenting themselves as Brambles or CHEP representatives have scheduled interviews and offered fraudulent employment opportunities with the intent to commit identity theft or solicit money. Brambles and CHEP never conduct interviews via online chat or request money as a term of employment. If you have a question as to the legitimacy of an interview or job offer, please contact us at recruitment@brambles.com.

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Skills

Adaptability
Bank Reconciliations
Cash Flow Management
Financial Analysis
Treasury Management
Liquidity Forecasting
Foreign Exchange
Treasury Management Systems
Stakeholder Management
Cash Positioning

Location

Addlestone, England, United Kingdom

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