Treasury Analyst
ABOUT SOTHEBY'S
Established in 1744, Sotheby’s is the world’s premier destination for art and luxury. Sotheby’s promotes access to and ownership of exceptional art and luxury objects through auctions and buy-now channels including private sales, e-commerce and retail. Our trusted global marketplace is supported by an industry-leading technology platform and a network of specialists spanning 40 countries and 70 categories which include Contemporary Art, Modern and Impressionist Art, Old Masters, Chinese Works of Art, Jewelry, Watches, Wine and Spirits, and Design, as well as collectible cars and real estate. Sotheby’s believes in the transformative power of art and culture and is committed to making our industries more inclusive, sustainable and collaborative.
THE ROLE
As a Treasury Analyst within the Sotheby’s Treasury team, you will support the accounts receivable and treasury functions with detailed reporting and financial analysis.
The Treasury Analyst will prepare routine journal entries relating to accounts receivable and financing activities, as well as contribute to the preparation of balance sheet reconciliations for review. Additionally, this role will support the daily treasury operations. This role requires a strong understanding of accounting, cash flows, and data management.
The ideal candidate can think analytically, autonomously, and has advanced Excel skills.
RESPONSIBILITIES
- Daily incoming cash reconciliations, reporting and analysis of accounts receivable data, activity, roll forwards and ageing
- In conjunction with a third party, produce regular borrowing base reports for the review and approval
- Liaising with the accounts receivable team to support with cash application, invoicing requirements and cashflow movement
- Prepare and record monthly journal entries in relation to financing transactions
- Collate and consolidate client payment data to support cashflow management
- Responsibility for some treasury month end tasks like FX rates report, market data feeds, bank reconciliations
- Support the treasury manager on the multiple corporate cards’ programs
- Support daily treasury operations around intra-group funding and payment release
- Make recommendations for process improvements, automation, reporting and analysis
- Support audit activities and help ensure timely delivery of required documentation
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IDEAL EXPERIENCE & COMPETENCIES
- Bachelor’s degree in accounting, finance or similar
- Excellent communicator and team player
- Detail-oriented, highly organized, and able to meet deadlines in a fast-paced environment
- 1+ years of accounting or finance experience
- Advanced Excel skills and proficiency in other core applications
- Prior knowledge and experience in SAP a plus
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The Company is an equal opportunity employer and considers all applicants for employment without regard to race (including, without limitation, traits historically associated with race, such as natural hair, hair texture, and protective and treated or untreated hairstyles), color, creed, religion, sex, sexual orientation, marital or civil partnership/union status, national origin, age, disability, pregnancy, genetic predisposition, genetic information, reproductive health decision, sexual orientation, gender identity or expression, alienage or citizenship status, domestic violence victim status, military or veteran status, or any other characteristic protected by federal, state/province or local law. The Company complies with applicable state and local laws prohibiting discrimination in employment in every jurisdiction in which it operates.
Perks and Benefits
Health and Wellness
Parental Benefits
Work Flexibility
Office Life and Perks
Vacation and Time Off
Financial and Retirement
Professional Development
Diversity and Inclusion