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Junior Treasury Analyst

mileway.com Logo

Mileway

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Location:
United Kingdom , London West End

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Category:
Finance

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Contract Type:
Not provided

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Salary:

Not provided

Job Description:

The Treasury and Capital Markets team looks after Mileway’s global liquidity, funding, debt, investments and hedging. We interact with a wide range of internal and external business partners, including financial institutions and Mileway’s investors, on a range of topics, covering cash management, bank account management, acquisition finance, disposals, debt capital markets and derivatives. We’re looking for an entrepreneurial Junior Treasury Analyst to join our treasury markets team. Reporting to the Treasury Markets Manager (London), you’ll be a key part of the team responsible for financial risk assessment and analysis, hedging strategy, monitoring market conditions and providing C-suite with updates and opportunities, and derivative performance reporting. The role will work closely with many stakeholders including within Mileway (accounting, tax, FP&A, portfolio management), as well as with external legal and market advisors and the Blackstone Capital Markets team. This is a unique opportunity to gain exposure to a wide range of treasury and capital markets activities, including the management of Mileway’s derivative portfolio, and participation in fast-paced, first of their kind transactions.

Job Responsibility:

  • Take ownership of the day-to-day management of Mileway’s derivative portfolio, gaining hands-on experience with complex instruments and high-value transactions
  • Maintain an overview of quarterly cash movements and provide instructions internally and to facility agents, ensuring cash accounts are sufficiently topped up for derivative payments and cash is correctly allocated after quarterly Interest Payment Dates
  • Assist in management of Mileway’s CMBS buyback programme
  • Support strategic hedging analysis, including modelling, performance tracking, and scenario planning, while developing a deep understanding of market dynamics and risk mitigation strategies
  • Contribute to corporate structuring and tax-related considerations within the debt and hedging portfolio, offering exposure to cross-functional collaboration with tax, legal, and finance teams
  • Monitor and report on market environment – reporting regularly to senior leadership regarding risks and opportunities
  • Coordinate with external counterparties, market advisors, legal counsel, BX capital markets team and wider stakeholders to ensure efficient management of Mileway’s derivative positions
  • Liaise with lawyers, facility agents, Blackstone and various other stakeholders to complete new external financing transactions. Coordinate inflow and outflow of financing funds
  • Work in a fast-paced environment on unique and ground-breaking transactions, gaining insight into innovative deal structures and capital markets strategies
  • Assist the team in identifying efficiency strategies and developing new processes through our technology team and through more efficient use of our existing tech-stack and reporting tools such as Power BI

Requirements:

  • University degree in Finance and/or Banking (CFA, ACCA, CIMA is an asset)
  • Min 2–3 years of work experience in a bank / financial advisor (experience with real estate finance and/or derivative modelling and settlements is a strong plus)
  • Proficiency with MS Office standard applications and Power BI tools
  • Ability to comprehend legal financing agreements
  • Fluent in English
  • Experience with Treasury Management Systems, preferably Integrity (FIS)
  • Dynamic, positive personality with a can-do and hands-on attitude and strong desire to learn and develop
  • Solution-oriented approach / problem-solving aptitude
  • High sense of organisation
  • Detail orientation with also the ability to see the big picture
  • Ability to handle and prioritise a wide variety of situations and challenges
  • Ability to work independently but also be an excellent team player
  • Curiosity and enthusiasm for business-related matters
  • Manages stress well and uses it as a positive motivator
  • High energy level
  • exhibits positive attitude and flexibility
  • Sense of ownership, accountability and urgency
  • Excellent communication skills (written and verbal)

Nice to have:

  • CFA, ACCA, CIMA is an asset
  • experience with real estate finance and/or derivative modelling and settlements is a strong plus
  • Experience with Treasury Management Systems, preferably Integrity (FIS)
What we offer:
  • In-house learning & development programme
  • Flexibility to work some of the week from home
  • State-of-the-art technology package

Additional Information:

Job Posted:
December 25, 2025

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:

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