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Senior Cash Control Analyst

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IG

IG Group is a FTSE 250 online trading platform (CFDs, forex, shares) that launched spot crypto trading in 2025 and acquired crypto exchange Independent Reserve in 2026.

Maintainer signals as of 8/14/2026

London, UK
About IG

IG Group Holdings plc (LSEG: IGG) is a London-headquartered FTSE 250 online trading platform offering CFDs, forex, shares and ~19,000 markets. It launched spot crypto trading for UK retail in June 2025, obtained FCA cryptoasset registration in October 2025 (50+ coins by May 2026), and completed the acquisition of crypto exchange Independent Reserve on 30 January 2026.

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Skills

Candidate Availability

Required and preferred rules are kept separate and reflect the wording in the original posting.

About the Role

You reconcile client and firm cash positions in AutoRek, investigate and resolve reconciliation breaks, monitor client money regulations and liquidity buffers, produce liquidity and cash management reports, manage queries from stakeholders and financial institutions, improve reconciliation and payment processes, support audits, implement a Treasury Management System, onboard new products, lead automation initiatives, and maintain procedures and control documentation.

Requirements

  • Minimum 5 years of financial services experience
  • Experience with reconciliation and cash management
  • Exposure to Treasury Management Systems
  • Minimum BA degree in Business, Finance, Economics, or a related discipline
  • Strong Microsoft Excel proficiency
  • Experience with financial systems
  • Strong analytical and problem-solving skills
  • Exceptional attention to detail
  • Excellent English communication skills
  • Ability to liaise with banking institutions and auditors
  • Ability to manage multiple priorities and deadlines
  • Power BI proficiency is beneficial

Responsibilities

  • Reconcile client and firm cash positions in AutoRek
  • Investigate and resolve reconciliation breaks
  • Coordinate with internal and external stakeholders
  • Monitor client money regulations and liquidity buffers
  • Produce daily liquidity and cash management reports
  • Manage queries from internal and external parties
  • Improve reconciliation, payment processing, and cash management processes
  • Recommend risk-mitigating solutions
  • Coordinate internal and external audits
  • Support CASS audits
  • Implement the Treasury Management System
  • Onboard new products
  • Lead automation initiatives
  • Maintain procedures, process documentation, and control frameworks

Benefits

  • Hybrid working with 3 days in the office
  • Home office equipment reimbursement
  • Performance-related bonus
  • Private medical cover for the employee and family or partner
  • Multikafeteria system
  • Life insurance
  • Free LinkedIn Learning access
  • Employee share plans
  • Well-being events
  • Employee Assistance Programme
  • Social events
  • Three additional days off for birthday and voluntary work
  • App-based parking spot booking
  • Stretching sessions