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Equinix

Treasury Senior Analyst

Posted 2 Days Ago
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In-Office
London, Greater London, England, GBR
Senior level
In-Office
London, Greater London, England, GBR
Senior level
Own daily cash and liquidity management across a multi-entity, multi-currency group. Manage intercompany funding, loan facilities and guarantees. Maintain treasury records and interest accruals. Develop and operate the treasury management system, automate processes, produce insightful treasury reporting, and collaborate with finance, legal and tax across jurisdictions.
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Who are we?

Equinix is the world’s digital infrastructure company®, shortening the path to connectivity to enable the innovations that enrich our work, life and planet. 
 

A place where bold ideas are welcomed, human connection is valued, and everyone has the opportunity to shape their future.

A career at Equinix means being at the center of shaping what comes next and amplifying customer value through innovation and impact. You’ll work across teams, influence key decisions, and help shape the path forward. You’ll find belonging, purpose, and a team that welcomes you—because when you feel valued, you’re empowered to do your best work.

Job Description

Job Summary

Our treasury function sits at the heart of a complex, multi-entity group structure — managing liquidity, intercompany funding and financial risk across borders. As we scale, we are looking for a sharp, data-driven Senior Analyst to join our European regional team and take ownership of core treasury operations.

This is not a back-office role. You will be embedded in the operational engine of a dynamic group treasury function, working across cash management, intercompany funding, guarantees, and treasury reporting and compliance in an environment where accuracy, judgement and speed all matter equally.

You will work with large and complex datasets spanning multiple entities and currencies, and you will be expected to bring structure and insight — not just numbers — to everything you produce. If you are someone who finds clarity in complexity and takes pride in building reporting that actually drives decisions, this role was written for you.

Responsibilities
Cash & Liquidity Management

  • Monitor and manage daily cash positions across a multi-entity, multi-jurisdiction group structure

  • Execute cash concentration and pooling arrangements, ensuring optimal liquidity across entities

  • Identify funding gaps and surpluses and propose timely solutions

Intercompany Funding & Guarantees

  • Manage intercompany loan facilities and funding flows between group entities

  • Maintain accurate records of intercompany positions, interest accruals and settlement schedules

  • Support the administration and tracking of intragroup guarantees across jurisdictions

Systems & Process

  • Operate and develop capabilities within the treasury management system (TMS)

  • Identify opportunities to automate and streamline manual processes

  • Collaborate with finance, legal and tax teams across jurisdictions on treasury-related matters

Qualifications

  • We are qualification-agnostic. What matters is what you have done and how you think. Relevant professional qualifications (ACT, ACCA, CIMA, ACA) are welcome but not required

Experience

  • Proven years in an MNC treasury operations role

  • Hands-on experience managing intercompany funding and multi-currency cash positions within a group structure

  • Proven ability to work with and interpret large, complex datasets

  • Experience in a multi-jurisdiction or cross-border environment is essential

Technical Skills

  • Advanced Excel — you build models cleanly and know when a formula needs rethinking

  • Treasury management system experience (Kyriba, Reval, or equivalent)

  • Proficiency in at least one BI or data tool (Power BI, Tableau, or SQL)

  • Familiarity with AI productivity tools, particularly Microsoft Copilot, is a plus

Personal Qualities

  • Highly organised with strong attention to detail — you don't let things slip through

  • Comfortable operating in ambiguity and across a matrixed, international organisation

  • A clear and confident communicator who can translate complex treasury data into plain language

  • Proactive and intellectually curious — you ask why, not just how

Why Join Us

Digital infrastructure is one of the most consequential sectors of our time — and treasury sits at the centre of how we fund and sustain it. You will join a lean, capable regional team in Europe, working on genuinely complex problems with real visibility to senior leadership. This is a role with room to grow as the business grows.

We are an equal opportunities employer and welcome applications from all backgrounds.

Equinix is committed to ensuring that our employment process is open to all individuals, including those with a disability.  If you are a qualified candidate and need assistance or an accommodation, please let us know by completing this form.

Equinix is an Equal Employment Opportunity and, in the U.S., an Affirmative Action employer.  All qualified applicants will receive consideration for employment without regard to unlawful consideration of race, color, religion, creed, national or ethnic origin, ancestry, place of birth, citizenship, sex, pregnancy / childbirth or related medical conditions, sexual orientation, gender identity or expression, marital or domestic partnership status, age, veteran or military status, physical or mental disability, medical condition, genetic information, political / organizational affiliation, status as a victim or family member of a victim of crime or abuse, or any other status protected by applicable law. 

We use artificial intelligence in our hiring process. Learn more here.

Equinix London, England Office

Devonshire Square, , England, London, United Kingdom, EC2M 4

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