Treasury Analyst

Reach

Job Overview

Location

Remote

Employment Type

Full-time

Work Arrangement

Remote

Sector

Finance & Banking

Experience Level

Junior (1-3 years)

Application Deadline

May 3, 2026

About the Company

Reach is a dynamic FinTech company dedicated to revolutionizing global e-commerce through innovative software solutions. Our mission is to empower ambitious online brands by redefining global payment solutions and connecting them with consumers worldwide.

Leveraging a unique local service provider model, Reach facilitates seamless global payment transactions for merchants, ensuring they can reach customers wherever they are based. We are committed to shaping the future of international commerce through cutting-edge technology and strategic partnerships.

Job Description

As a Treasury Analyst at Reach, you will be instrumental in supporting the daily operations of our global treasury function. This role involves close collaboration across cash management, foreign exchange (FX), and treasury systems, reporting directly to the Head of Treasury.

You will play a pivotal role in managing the company's liquidity and supporting financial risk processes within a complex, multi-entity, and multi-currency environment. This is an exceptional opportunity for an early-career professional to gain invaluable hands-on experience within a rapidly scaling FinTech organization.

To apply for this role, click the Apply button on this page and follow the instructions.

Required Skills

Cash ManagementFXTreasury SystemsLiquidity ManagementFinancial RiskExcelAnalytical SkillsAttention to DetailOrganizationCommunication

Key Responsibilities

  • Monitor daily cash positions and support liquidity management
  • Prepare cash flow forecasts and analyze variances
  • Assist with FX exposure tracking and hedging activities
  • Support treasury systems, reporting, and automation
  • Partner with internal teams and banking partners
  • Contribute to process improvements across treasury operations

Qualifications

  • Degree in Finance, Accounting, Economics, or a related field
  • Up to 3 years of experience in treasury, finance, or accounting
  • Strong Excel and analytical skills
  • High attention to detail and organization
  • Clear communication and ability to work remotely

Benefits & Perks

  • Competitive compensation
  • Study support and development budget
  • Fully remote working arrangement
  • Exposure to global treasury operations
  • Opportunity to grow within a scaling FinTech

How to Apply

Apply with your CV and a brief cover letter outlining your finance or treasury experience and your interest in joining Reach.

The UK's FinTech sector is experiencing rapid expansion, driving demand for specialized financial roles. This Treasury Analyst position is crucial for managing global liquidity and financial risk within a multi-currency framework. Key responsibilities include cash flow forecasting, FX exposure management, and treasury system optimization. The role demands expertise in financial modeling, cash flow analysis, and FX hedging strategies. Success in this position directly impacts the company's financial stability and operational efficiency, contributing significantly to its growth trajectory and profitability.

Posted Date

April 17, 2026