Senior Treasury Analyst
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About the role
Legora is redefining how legal work gets done. Not built for lawyers, built with them. We work alongside the world's best legal teams, who expect excellence, precision, and speed, and we hold ourselves to the same bar. Our AI-native workspace lets legal professionals move faster, think more clearly, and operate with sharper precision. By analysing thousands of documents in minutes and powering end-to-end workflows, we cut through complexity, teams can focus on what matters: judgment, strategy, and outcomes. 1,000+ customers across 50+ countries trust us, including Cleary Gottlieb, Goodwin, Linklaters, White & Case, Dentons, and Barclays. We've scaled to $100M+ in ARR , with teams across Europe, North America and APAC, and continue to expand through acquisitions including Qura, Walter AI and Graceview. We partner with world-class performers: including Aaron Judge and the New York Yankees, Ludvig Åberg (and his caddie), and campaigns featuring Jude Law. Joining Legora means three things. We lean in: ownership over titles, outcomes over intentions. We fight for excellence: high standards, direct, ego-free feedback. We grow together: as a team and with our customers. Mission before ego. Everyone contributes. No one coasts. If you're driven by impact, pace, and raising the bar. This is the place.
Responsibilities
- Own day-to-day treasury operations, including cash positioning, liquidity management, and bank account administration
- Build and maintain short- and long-term cash flow forecasts to support business planning
- Manage global banking relationships and optimize account structures across entities
- Design and execute FX risk management strategies, including hedging programs where appropriate
- Partner with FP&A, Accounting, Legal, and Tax teams to align treasury strategy with company goals
- Improve working capital efficiency and ensure optimal allocation of funds across the business
- Evaluate and manage investment opportunities for excess cash in line with risk and liquidity requirements
- Lead treasury systems and tooling (ERP/TMS), driving automation and scalability
- Establish strong internal controls, policies, and compliance frameworks
- Monitor and report on treasury KPIs, including liquidity, returns, and banking costs
- What You Bring
- 5+ years of strong experience in treasury, corporate finance, or related roles
- Solid expertise in cash flow forecasting, liquidity planning, and bank relationship management
- In-depth understanding of FX risk management and multi-currency operations
- Experience with treasury management systems (TMS), ERP platforms, and financial modeling
- Ability to operate independently in a fast-paced, high-growth environment
- Strong analytical thinking and attention to detail
- Excellent stakeholder management and communication skills
Requirements
- Experience building or scaling a treasury function from scratch
- Exposure to capital markets, debt facilities, or venture / growth-stage financing
- Familiarity with international payments, intercompany funding, and global entity structures
- Professional certifications
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