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Jobs / Treasury Analyst in United Kingdom
11 days ago
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GA
G-20-advisors-ag·11 days ago
11 days ago

Finance & Treasury Lead (London)

London, United KingdomFull-timeRemoteSenior · 7+ yearsTreasury Analyst

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Must-have skills for this role

  • cpa
  • aca
  • acca
  • financial control

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Apply faster with autofill FREEg-20-advisors-ag uses Workable - autofill it instead of retyping.careers.example.com/applyAutofillingFull namePriya SharmaEmailpriya.sharma@example.comPhone+49 30 1234567LocationBerlGet the extension

What you'll do

  • Provide responsive finance support to management, counterparties, partners, and internal stakeholders during normal business hours and, where circumstances reasonably require, outside standard hours.
  • Maintain high standards of work ethic, execution, reporting, risk awareness, confidentiality, and financial governance appropriate to a financial markets business.
  • Work cross-functionally with Legal, Operations, Trading, management, and other teams to support new products, jurisdictions, legal entities, structures, and business initiatives.
  • Maintain and develop the Group’s accounting systems, including SoftLedger, and establish effective finance processes, controls, review procedures, and automation to improve efficiency, accuracy, reliability, and scalability.
  • Manage relationships with tax authorities, financial regulators, banks, payroll providers, compliance consultants, local accountants, and other third-party finance providers.
  • Research, document, and resolve complex technical accounting matters and maintain appropriate accounting policies and supporting documentation.
  • Coordinate external and statutory audits, including audit planning, preparation of supporting schedules, resolution of technical accounting matters, and management of relationships with auditors.
  • Ensure compliance with applicable financial, regulatory, tax, and statutory obligations across the Group, including Swiss and UK requirements and relevant FINMA, FCA, HMRC, and tax authority processes.
  • Ensure timely and accurate processing and control of global payroll, billing, supplier payments, employee expenses, and related finance operations, with appropriate oversight of local statutory requirements.
  • Oversee cash flow, treasury, and liquidity management across multiple jurisdictions, entities, banks, and currencies.
  • Prepare and oversee timely financial statements, management reporting, and internal performance dashboards.
  • In conjunction with Operations, manage the Treasury system, ensuring daily reconciliation of all desk positions and integrating non-trading cash and equity movements into Treasury reporting.

What they're looking for

  • Recognized accounting qualification (e.g., CPA, ACA, ACCA, or equivalent).
  • Minimum 7 years’ experience in finance, preferably within a trading or financial services environment.
  • Experience of working in international and regulatory environments.
  • Strong understanding of cross-border payroll, global payments, and multi-entity structures.
  • Proven leadership capabilities, with a track record of managing teams and external vendors.
  • Strong interpersonal, problem-solving, and communication skills.

Summarised by NextRaise from the employer’s description, which follows in full below.

Full description from employer

Important: Please only apply if you are able to work on-site at our London office every working day. This is a fully office-based role with no option for remote work.

About G-20 

G-20 Group is a cross-asset trading firm headquartered in Switzerland, trading delta-one and derivatives markets globally. We combine startup agility with institutional-grade experience in proprietary trading, technology, and quantitative finance.

Role Overview 

We are seeking a strategic and hands-on Finance & Treasury Lead to oversee the Group's global finance function, with particular responsibility for its Swiss and UK entities and oversight of a complex international, multi-entity environment. The role combines leadership of the finance team with hands-on ownership of financial control, accounting, reporting, treasury, payroll, billing, payments, compliance, audit readiness, budgeting, forecasting, and process improvement. The successful candidate will be a trusted adviser to senior management and will ensure the finance function provides accurate information, strong controls, effective operational support, and scalable processes for the Group.

Key Responsibilities 

  • Provide responsive finance support to management, counterparties, partners, and internal stakeholders during normal business hours and, where circumstances reasonably require, outside standard hours.
  • Maintain high standards of work ethic, execution, reporting, risk awareness, confidentiality, and financial governance appropriate to a financial markets business.
  • Work cross-functionally with Legal, Operations, Trading, management, and other teams to support new products, jurisdictions, legal entities, structures, and business initiatives.
  • Maintain and develop the Group’s accounting systems, including SoftLedger, and establish effective finance processes, controls, review procedures, and automation to improve efficiency, accuracy, reliability, and scalability.
  • Manage relationships with tax authorities, financial regulators, banks, payroll providers, compliance consultants, local accountants, and other third-party finance providers.
  • Research, document, and resolve complex technical accounting matters and maintain appropriate accounting policies and supporting documentation.
  • Coordinate external and statutory audits, including audit planning, preparation of supporting schedules, resolution of technical accounting matters, and management of relationships with auditors.
  • Ensure compliance with applicable financial, regulatory, tax, and statutory obligations across the Group, including Swiss and UK requirements and relevant FINMA, FCA, HMRC, and tax authority processes.
  • Ensure timely and accurate processing and control of global payroll, billing, supplier payments, employee expenses, and related finance operations, with appropriate oversight of local statutory requirements.
  • Oversee cash flow, treasury, and liquidity management across multiple jurisdictions, entities, banks, and currencies.
  • Prepare and oversee timely financial statements, management reporting, and internal performance dashboards.
  • In conjunction with Operations, manage the Treasury system, ensuring daily reconciliation of all desk positions and integrating non-trading cash and equity movements into Treasury reporting.
  • Develop and monitor forecasts, analyse variances, and provide financial analysis, challenge, and recommendations to support strategic decision-making, business performance, and cost control.
  • Ensure complete and accurate capture of the Group’s different revenue sources in the ledger, working closely with Operations and Trading as required.
  • Maintain the accuracy and integrity of general accounting across multiple global offices, including accounts payable, general ledger, payroll, fixed assets, investments, and other key accounting records.
  • Own the month-end and year-end close across the Group, including preparation and review of journal entries, accruals, prepayments, provisions, account analysis, and bank, crypto wallet, company card, balance sheet, and other complex account reconciliations; ensure discrepancies are investigated and resolved promptly.
  • Lead, mentor, and manage the finance team, with responsibility for accounting, payroll, billing, payments, financial control, reporting, and the effective allocation, review, coverage, and handover of work.

Requirements

  • Recognized accounting qualification (e.g., CPA, ACA, ACCA, or equivalent).
  • Minimum 7 years’ experience in finance, preferably within a trading or financial services environment.
  • Experience of working in international and regulatory environments.
  • Strong understanding of cross-border payroll, global payments, and multi-entity structures.
  • Proven leadership capabilities, with a track record of managing teams and external vendors.
  • Strong interpersonal, problem-solving, and communication skills.

 

Right to work: This role is based in our London office. Only candidates who reside in and who possess the pre-existing right to work in the UK without requiring company sponsorship need   

Join G-20 Group and be a part of a team that is at the forefront of financial markets, driving innovation and excellence in the sector. 

Company

GA
G-20-advisors-ag
London, United Kingdom

Company facts come from this company's own listings. We only show what the postings themselves carry.

Sourced from G 20 Advisors Ag's careers site·first seen 12 Sept 2026·last verified 12 Sept 2026·How we source jobs

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