Remote Treasury Operations Analyst

🏢 Virgin Money UK📍 Partick, Glasgow💼 Full-Time💻 Remote🏭 Financial Services💰 £45,000 - £58,000 per year

About Company

Virgin Money UK is one of the UK’s leading challenger banks, offering a fresh approach to banking that puts customers first. As part of the Virgin Group, we combine innovative digital solutions with a human touch, providing a wide range of financial products and services, including mortgages, savings, current accounts, credit cards, and business banking. We’re committed to building a better kind of bank – one that champions real change, fosters financial well-being, and makes a positive impact on our communities. Our culture is dynamic, inclusive, and forward-thinking, encouraging collaboration, creativity, and continuous learning. We believe in empowering our colleagues to thrive, offering flexible working arrangements and robust support systems to help everyone achieve their full potential. Join us in shaping the future of banking.

Job Description

Are you an analytical and detail-oriented finance professional with a passion for treasury operations? Do you thrive in a dynamic environment where your expertise directly contributes to financial stability and strategic growth? Virgin Money UK, one of the UK’s most forward-thinking and customer-centric financial institutions, is seeking a talented Remote Treasury Operations Analyst to join our esteemed finance team. This is an unparalleled opportunity to leverage your skills from the comfort of your home, while remaining an integral part of our Glasgow-based operations.

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In this pivotal remote role, you will be instrumental in the day-to-day management and execution of treasury activities, ensuring the smooth flow of funds and optimal liquidity management across the organisation. You will be responsible for processing and monitoring a wide array of financial transactions, including money market instruments, foreign exchange, and debt securities. Your keen eye for detail will be crucial in ensuring the accuracy and timely settlement of all treasury trades, playing a direct part in mitigating operational risks. Beyond transactional processing, you will contribute to the ongoing development and enhancement of our treasury systems and processes, identifying areas for improvement and implementing best practices to increase efficiency and control.

Working collaboratively with the broader Treasury, Risk, and Finance teams, you will provide critical support in managing the bank’s funding and liquidity positions. This involves preparing daily cash flow forecasts, reconciling treasury accounts, and generating comprehensive reports that inform key strategic decisions. The ability to interpret financial data, identify trends, and communicate insights effectively will be vital. You will also play a key role in ensuring compliance with internal policies and external regulatory requirements, maintaining a robust control environment for all treasury operations.

This role offers significant scope for professional development and exposure to complex financial instruments and markets. Virgin Money UK is committed to fostering an inclusive and supportive work environment, even in a remote setting. We provide comprehensive tools and resources to ensure our remote colleagues feel connected, valued, and empowered to excel. If you are looking to make a substantial impact within a leading financial services firm, possess excellent analytical capabilities, and are eager to embrace the flexibility of remote work, we encourage you to apply and help shape the future of banking with Virgin Money UK.

Key Responsibilities

  • Execute daily treasury operations, including cash management, foreign exchange, and money market transactions.
  • Monitor and reconcile treasury accounts, ensuring accuracy and resolving discrepancies in a timely manner.
  • Prepare daily and weekly cash flow forecasts to support liquidity management decisions.
  • Ensure timely and accurate settlement of all treasury trades and transactions.
  • Assist in the preparation of internal and external treasury reports for management and regulatory bodies.
  • Support the ongoing development and improvement of treasury systems and processes.
  • Maintain strict adherence to internal policies, procedures, and external regulatory requirements.
  • Collaborate with internal stakeholders across Finance, Risk, and Operations teams.
  • Participate in ad-hoc treasury projects and initiatives as required.

Required Skills

  • Bachelor's degree in Finance, Accounting, Economics, or a related field.
  • Proven experience in treasury operations, cash management, or a similar financial role, preferably within banking or financial services.
  • Strong understanding of financial markets, instruments (money market, FX, fixed income), and treasury risk management principles.
  • Proficiency in Microsoft Excel for data analysis and reporting.
  • Excellent analytical and problem-solving skills with meticulous attention to detail.
  • Ability to work independently and manage multiple tasks in a remote work environment.
  • Strong communication skills, both written and verbal, for effective internal and external interaction.

Preferred Qualifications

  • Professional qualification such as ACT (Association of Corporate Treasurers) or CFA.
  • Experience with treasury management systems (e.g., FIS Integrity, Wallstreet Suite).
  • Familiarity with UK financial regulations (e.g., PRA, FCA) related to treasury activities.
  • Prior experience working in a remote or hybrid team setting.

Perks & Benefits

  • Competitive salary and performance-based bonuses.
  • Generous pension scheme.
  • Private medical insurance.
  • Life assurance.
  • Extensive learning and development opportunities.
  • Flexible working arrangements and a supportive remote work culture.
  • Employee assistance program.
  • Virgin Money staff discounts on a range of products and services.
  • A vibrant, inclusive, and collaborative company culture.

How to Apply

Interested candidates are invited to click on the application link below to submit their resume and cover letter. Please highlight your relevant experience in treasury operations and your suitability for a remote role. We look forward to reviewing your application and exploring how you can contribute to the Virgin Money UK team.

Apply Now

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