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Treasury Analyst @ Visa

London, UNITED KINGDOM, gbOnsiteFull-timePosted 134 days ago

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About this role

This Analyst role is part of the Global Treasury Bank Account Management team, a dynamic and evolving team responsible for all bank account management activities. The successful candidate will be responsible for managing bank account activities, including the opening, closing, and maintenance of bank accounts, for multiple Visa legal entities around the globe. Additionally, the Treasury Analyst will be in charge of updating and maintaining authorised signers on all bank accounts, ensuring compliance with internal controls and regulatory requirements, as well as assisting with KYC updates and system access administration.

We are looking for a corporate finance professional who has the depth of experience and flexibility to provide support across a variety of corporate treasury activities. This individual will be a key member of Visa’s global corporate treasury group, which is responsible for funding Visa’s operations, bank account management, cash flow and liquidity forecasting, liquidity risk management, investments, capital structure, and insurance.

Bank Account Management

Oversee the opening, closing, and maintenance of bank accounts

Conduct regular reviews of existing bank accounts to ensure optimal account structure and usage

Coordinate with banks and internal stakeholders to resolve any issues related to bank accounts

Maintain accurate records of all bank accounts and related documentation

Authorised Signers Management

Update and maintain authorised signer information for all bank accounts

Ensure compliance with company policies and regulatory requirements regarding Authorised signers

Work with internal departments to obtain necessary approvals for changes to authorised signers

Conduct periodic reviews to ensure authorised signers are current and correct

Compliance and Controls

Ensure all bank account activities are compliant with internal controls and regulatory requirements

Assist in the implementation and enforcement of treasury policies and procedures

Participate in internal and external audits related to treasury activities

Reporting and Analysis

Prepare regular reports on bank account activities and authorised signers for management review

This is a hybrid position. Expectation of days in office will be confirmed by your hiring manager.

2 or more years of relevant work experience with a Bachelor’s degree preferred or an Advanced degree (e.g. Masters, MBA, JD, MD) in Finance, Accounting, or a related field a plus

Knowledge of Visa systems and practices is a strong plus

Strong understanding of bank account management and treasury operations

Proven ability to work under pressure and to meet deadlines, managing multiple priorities in a dynamic environment

Strong project management knowledge and experience is highly desired

Highly detail oriented with excellent planning and time management skills

Effective communication and interpersonal skills

Ability to work independently and collaborate as part of a cross-functional, global team

Visa is an EEO Employer. Qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, sexual orientation, gender identity, disability or protected veteran status. Visa will also consider for employment qualified applicants with criminal histories in a manner consistent with EEOC guidelines and applicable local law.

Skills

Finance/AccountingAccounting/AuditingMid-Senior LevelInformation Technology And Services

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