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Graduate Treasury Accountant

Logo of Trainline



2mo ago

đź’Ľ Graduate Job


AI generated summary

  • You need a 2:1 degree or equivalent, a desire to qualify in accounting, excel skills, great communication, and analytical abilities. Passionate, organized, and a team player. Ready to thrive in a fast-paced, growing company.
  • You will be responsible for monitoring daily cash positions, posting journals, reconciling accounts, creating payment transactions, handling queries, and supporting Treasury Manager as needed in a fast-paced environment.

Graduate Job

Accounting & Tax•London


  • We are looking to hire a Graduate Accountant reporting directly to the Treasury Manager in our fast paced, growing FTSE 250 listed global tech business.
  • In this role, you will gain insight into the Treasury operation along with the wider Financial Control organisation within Trainline. As well as providing study support for a professional qualification, we will equip you with the skills to take on various responsibilities within the Treasury and Finance sphere. Bringing enthusiasm, curiosity, and a desire to learn, you will be a key part of the team.
  • As a visible member of the Finance team, you will be an important contact queries both internally as well as for external stakeholders.
  • Our ever-expanding business is constantly changing. This brings with it the opportunity to get involved with ad-hoc projects. As such, we are looking for someone with initiative, curiosity.


  • A 2:1 or above degree graduate, preferably within an Accountancy/Finance related course, or hold equivalent commercial experience.
  • Keen to gain an accounting qualification, with potential for rotation across other areas of the finance team.
  • Passionate and committed.
  • Keen to work in a growing, dynamic, and fast paced company.
  • Proficient in Microsoft Office, particularly Excel
  • Confident in both written and verbal communication
  • Able to build relationships and utilise them both within the wider Finance team and across the business.
  • Well organised and able to manage/prioritise own workload and meet deadlines.
  • Analytically minded, able to investigate the detail but also consider the bigger picture.
  • Able to work both independently and as part of a team.

Education requirements

2:1 or higher

Area of Responsibilities

Accounting & Tax


  • Prepare reports and analyses including monitoring of daily cash position and movements.
  • Post journals to account for related transactions to the ERP system.
  • Reconcile balance sheet accounts to internal and external sources, including banks.
  • Assist in the ongoing maintenance of bank account documentation and maintenance of external services such as bank portal access.
  • Create payment transactions on internal or external systems as appropriate.
  • Deal with queries from colleagues and external stakeholders such as banks and auditors.
  • Take part in ad-hoc project work as the need arises.
  • Support and deputise for Treasury Manager when appropriate.


Work type

Full time

Work mode