FCE Bank is seeking a high-caliber **Cash and Liquidity Analyst** to join our Treasury team, reporting directly to the Assistant Treasurer. In this pivotal role, you will act as a guardian of the bank's financial health, balancing daily cash optimization across our European branches with long-term regulatory compliance.
This role offers a unique combination of technical financial modeling, regulatory strategy, and high-visibility stakeholder management. You will work closely with Risk and Regulatory Reporting teams, drive the monthly executive committee processes, and gain invaluable exposure to senior leadership. If you are a proactive finance professional looking to deepen your treasury expertise, champion automation, and accelerate your career in a regulated banking environment, we want to hear from you.
+ **Daily Cash & Liquidity Management:** Lead daily cash forecasting across Consolidated, Individual, and Third Country Branches (TCBs), recommending strategic...