Senior Analyst (Treasury Systems)
Why Arup? Arup's purpose, shared values and collaborative approach has set us apart for over 75 years, guiding how we shape a better world. Unleash your creativity and take your skills to new heights while working on inspiring projects. At Arup, we believe in empowering our people to produce work that sets the bar for quality. Our passionate team shares our values, and that's why they love coming to work every day. The Opportunity We are seeking a Senior Analyst to join our Finance Systems team, supporting the systems that underpin Arup’s Treasury operations. This role focuses on our Treasury Management System (TMS) and related platforms, ensuring they remain robust, efficient, and aligned with best practice. Reporting to the Head of Finance Systems and working closely with the Head of Treasury, you’ll play a key role in maintaining and improving our treasury technology landscape. You’ll contribute to both business-as-usual activities and strategic projects, helping us deliver world-class processes and governance. The Senior Analyst (Treasury Systems) will be responsible for the following areas of work:
- Act as system administrator and subject matter expert for our TMS (Integrity by FIS Global), managing configuration, data integrity, and troubleshooting.
- Support and enhance treasury processes including liquidity, in-house banking, loans, FX trading interfaces, and payment workflows.
- Collaborate with internal teams and external vendors to automate and simplify payments, ensuring successful delivery of major projects.
- Lead testing activities for system changes and integrations, ensuring accuracy and compliance.
- Provide technical and administrative support for banking platforms (e.g., HSBCnet, 360T, ICD), including onboarding and connectivity tasks.
- Contribute to system development, documentation, and continuous improvement, ensuring processes are efficient and secure.
- Degree or equivalent in technology, computing, or finance systems.
- Minimum 2 years’ experience managing corporate treasury or financial systems, including payments and banking interaction.
- Strong understanding of treasury practices and terminology.
- Skilled in Excel and comfortable managing complex data sets.
- Ability to document workflows and support operational processes.