Treasury Analyst
FairJourney Bio
Job Description
Our Organization
FairJourney Biologics is a globally recognized Contract Research Organization (CRO) specializing in antibody discovery, engineering, characterization, and production. We proudly serve leading pharmaceutical companies and top-tier biotech firms across the U.S., Europe, and Japan. Our cutting-edge facilities are based in Porto, Portugal, where innovation and scientific excellence drive every project.
For more information, please visit FairJourney Biologics (fjbio.com).
The Role
We are looking for a Treasury Analyst to join our Group and support day-to-day cash and payment operations across multiple international entities.
This is a hands-on, operational role with a strong focus on payment execution, business expense platform management, cash monitoring, and banking activities. You will play a key role in ensuring liquidity availability, processing high volumes of payments, and handling urgent business requests in a dynamic environment.
This position is also critical in ensuring business continuity, internal controls, and proper segregation of duties within the Treasury function.
Key Responsibilities
- Monitor and manage daily cash balances and bank accounts across multiple entities.
- Execute and control high-volume payments, including suppliers, payroll, taxes, and intercompany transfers.
- Handle urgent and ad hoc payment requests, ensuring timely execution before cut-offs.
- Upload and process payments across multiple banking platforms.
- Investigate and resolve payment rejections and exceptions.
- Provide proof of payment to internal stakeholders and vendors.
- Prepare and manage payment batches and manual payments.
- Perform cash position checks before executing payments and support short-term liquidity planning.
- Perform consolidated short-term and long-term treasury forecasts across multiple entities/currencies and detailed analysis to ensure efficient cash management across the Group.
- Prepare regular reports on liquidity and funding requirements for internal stakeholders.
- Assist in the management of loans, credit lines, and intercompany funding flows.
- Assist in the management off the group business expense platform.
- Ensure compliance with treasury policies, internal controls, and segregation of duties.
- Contribute to process improvements and automation initiatives.
- Collaborate with Finance, Accounting (AP/GL), and external banking partners.
Your Profile
- Bachelor’s or Master’s degree in Finance, Accounting, Economics, or Business Administration.
- +3 years of hands-on experience in payment processing, cash operations, and banking activities (mandatory).
- Full professional proficiency in English, both written and spoken (mandatory).
- Experience working with bank portals/e-banking platforms (highly preferred).
- Familiarity with ERP systems (e.g. NetSuite).
- Experience in an international or shared services environment is a plus.
- Strong Excel skills (pivot tables, formulas, data analysis).
- Solid understanding of financial concepts (cash flow, liquidity, interest rates, FX).
- Strong attention to detail and accuracy (critical for payments).
- Hands-on, proactive mindset with readiness to manage operational workload.
- Ability to work in a fast-paced environment with high volumes and time-sensitive tasks.
- Analytical thinking with the ability to assess cash impact before execution.
- Good communication skills and ability to work cross-functionally.
- Well-organised with the ability to manage priorities and deadlines.
- Positive, solution-oriented attitude and willingness to learn.
We Offer
- Integration in a highly motivated team
- Working in an international environment
- Employee benefits package
- Career development.
If you're ready to take the next step in your career path, we’d love to hear from you.