Senior Treasury Analyst

Posted 3 Days Ago
Be an Early Applicant
Hiring Remotely in United Kingdom
Remote
Senior level
Insurance
The Role
Manage daily cash positions, cash-flow forecasting, liquidity, money-market trades, FX transactions, payments, reconciliations, and banking operations for EMEA entities. Support account openings, closures, mandates, TMS integrations, SOX documentation, compliance, and process improvements. Collaborate with treasury teams, banks, internal stakeholders, and US colleagues while contributing to broader treasury initiatives.
Summary Generated by Built In

About Accelerant

Accelerant is a data-driven risk exchange connecting underwriters of specialty insurance risk with risk capital providers. Accelerant was founded in 2018 by a group of longtime insurance industry executives and technology experts who shared a vision of rebuilding the way risk is exchanged – so that it works better, for everyone. The Accelerant risk exchange does business across more than 20 different countries and 250 specialty products, and we are proud that our insurers have been awarded an AM Best A- (Excellent) rating. For more information, please visit www.accelerant.ai.

The Role

As part of the continued growth and transformation, we are now looking for a Senior Treasury Analyst to join our team. This is 100% remote role with the expectation that candidates are no more than 1 hour from central London to travel for meetings. You will work in an exciting and dynamic Insurance organisation reporting into the Treasury Director - EMEA. The role will focus primarily on daily cash management for the EMEA entities, liquidity management & supporting bank account openings. The role will give the individual opportunity to get involved in project work as well as work with our US colleagues to help support their activities.

 

Job Description

·        Cash Management & Forecasting: 

·        Use the Treasury Management system to monitor daily cash positions, manage cash flow forecasting, and ensure adequate liquidity to meet the company's financial obligations.

·        Execute Money Market Fund Trades using the Morgan Money Platform.

·        Execute FX transactions as required on behalf of the group or subsidiaries to manage their FX exposure (internally or through HSBC Evolve, Citi Pulse).

·        Support the treasury team in entering payments into the Treasury Management System for approval.

·        Conduct daily cash reconciliation within the TMS to ensure all payments are settling.

·        Look for new ways to streamline and automate daily processes.

·        Liquidity & Risk Management: 

·        Analyse and optimise liquidity levels, support funding strategies, and mitigate financial risks related to cash flow and market exposure.

·        FX Management:

·        Manage the execution of FX deals on behalf of subsidiaries or group companies.

·        Analyse FX exposures and propose solutions/actions to the Treasury Director.

·        Payments & Banking Operations: 

·        Oversee payment processes and ensure the timely execution of transactions while maintaining compliance with internal controls.

·        Support the EMEA & US Teams in payment inputting and approval.

·        Facilitate account lifecycle tasks-openings, closures, API reporting into he TMS and mandate updates-aligned with internal policies.

·        Collaboration & Compliance: 

·        Work closely with internal teams and external partners to ensure accurate financial reporting, adherence to treasury policies, and regulatory compliance.

·        Assist in the preparation of SOX compliance documentation and back-up (e.g., banking profiles, payment audits).

·        Assist the Treasury Managers in their review of bank accounts.

·        Contribute to continuous process improvement and support wider treasury initiatives beyond core remit.

 

The Successful Applicant
A successful Senior Treasury Analyst should have:

·        Strong knowledge of cash management, liquidity management, payment processing, FX execution, and front-office treasury processes. Ideally, with 4+ years working in a Corporate/Insurance treasury environment.

·        Strong understanding of cash flow forecasting, liquidity management, and payment processing.

·        Experience using a treasury management system (TMS) is a plus.

·        Progressing through, or already part-qualified with, the Association of Corporate Treasurers (ACT) or other accounting qualification; open to further development.

·        Ability to analyse financial data, identify trends, and provide insights to support decision-making and risk management.

·        Excellent interpersonal and communication skills to work effectively with internal teams, banks, and external stakeholders.

 

Why Accelerant

Our incredible team is united by the mission to make insurance work better — for everyone. We’re a fully remote, high-trust team where engineers, data scientists, and insurance experts work side-by-side to ship in weeks, not years. Every model trained and feature released unlocks protection for thousands of small businesses and proves that centuries-old markets can run on modern data. We back bold ideas with meaningful equity, flexible schedules across North America and Europe, and a culture built on curiosity, autonomy, and clear results. If you love tackling hard problems, moving quickly, and seeing your work matter every day - join us.

 

Enjoy our comprehensive benefits package designed to meet your diverse needs and support your well-being:

 

Work-life balance: We believe that taking time to rest and recharge makes us all better. That’s why we offer flexible time off and encourage our team to take the time they need to prioritize their health and well-being.

 

Enjoy our comprehensive benefits package designed to meet your diverse needs and support your well-being:

 

Health and wellness: We offer high-quality health, dental, and other benefits to ensure our team members have access to the care they need.

 

Remote work: Work where you’re most productive and fulfilled. This position is open to remote candidates across the UK who have the flexibility to work with our teams distributed across Europe and North America. Most cross-team collaboration happens in the mornings of the Eastern Time Zone.

 

Travel: We value face-to-face connections and believe that in-person interactions can enhance collaboration and build stronger relationships. Travel is a part of your role, with opportunities to connect with your team and our Members in-person.

Skills Required

  • Strong knowledge of cash management, liquidity management, payment processing, FX execution, and front-office treasury processes
  • Strong understanding of cash-flow forecasting, liquidity management, and payment processing
  • Ability to analyze financial data, identify trends, and provide insights for decision-making and risk management
  • Excellent interpersonal and communication skills for working with internal teams, banks, and external stakeholders
  • Four or more years of experience in a corporate or insurance treasury environment
  • Experience using a treasury management system
  • Progressing through or already part-qualified with the Association of Corporate Treasurers or another accounting qualification
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The Company
HQ: Atlanta, GA
228 Employees
Year Founded: 2018

What We Do

Accelerant is unlike other insurance program carriers. We are fueled by insurance technology and supported by our unique insurance platform. We work exclusively with MGAs and Program Administrators. We’re transparent, responsive and collaborative. We’ve walked in your shoes and understand your challenges. And we’re organized and committed to your success, because we’re successful when you are too. Our technology fueled, data driven partnerships with specialty underwriters and risk capital partners propel new levels of profitability by: · Providing the entire value chain access to data and analytics to better understand risk and benefit from these insights · Offering long-term capacity commitments · Prioritizing velocity and collaboration while eliminating bureaucracy · Offering support to streamline operational and regulatory complexity We’ve built a network of some of the best MGA and Program Administrators on the planet. We call them Members because it underscores our deep commitment to their, and your, success. And we are always looking for other top-class Members.

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