Treasury, Liquidity & Capital Planning
Lead the Treasury, Liquidity & Capital Planning team, owning cash flow modeling and forecasting while driving cross-functional initiatives in a high-growth AI environment.
Who we are
We create trusted, expert content that helps millions of people discover more about the things they love, need and care about. From technology, gaming and entertainment to fashion, lifestyle, sport, finance and beyond, our specialist brands connect people with their passions every day.
Across websites, magazines, newsletters, social channels and events, we bring expert content to audiences around the world. We combine our deep specialist knowledge with innovative technology and data to create engaging experiences, build valuable communities and help people make better-informed decisions.
Behind it all are our people - passionate experts, creators, innovators and problem-solvers who are shaping the future of media.
The Team You'll Join
Our B2C Commercial Finance team supports Future's revenue-generating units, specifically media ads revenue and licensing across iconic global brands. Based in Bath or London on a hybrid basis (2–3 days per week), we maintain financial reporting integrity, accurate forecasting, and insightful commercial analysis. We build long-lasting partner relationships, proactively evaluate growth opportunities, and streamline operational processes using advanced financial models. You'll join a collaborative group that translates raw data into actionable insights to guide commercial strategy.
What you'll do
Reporting to the Commercial Finance Manager in Bath, you'll act as a key commercial finance partner supporting Future's Media functions. You'll bridge the gap between complex datasets and commercial insights to give Media and Finance teams a clear view of trading performance. In this role, you'll develop automated financial models and evaluate commercial scenarios to help guide revenue growth.
On a daily basis, you'll use tools like Salesforce, Looker, Operative One, Microsoft Excel, Google Sheets, and Power BI. You'll analyse weekly and monthly revenue streams, support budget forecasting cycles, and track strategic non-BAU initiatives. Additionally, you'll work with Commercial Systems and BI teams to refine reporting workflows and optimize margin insights.
What you’ll bring
Minimum Requirements
What we offer
The expected range for this role is £34,000 - £42,000
This is a hybrid role, working 2 days per week from our Bath Office
Internal job family level P6
Inclusion and Diversity at Future
At Future, we’re working to attract, retain and foster diverse talent, educating our colleagues in the importance of diversity, and review our internal processes so that they remain as free from bias as possible. We recognise that, in order to reach diverse communities through our content, we must first ensure ours is a culture in which diversity can thrive.
Find out more about Our Future, Our Responsibility on our website.
If you need any reasonable adjustments, please let us know, and we'll be happy to support you.
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Lead the Treasury, Liquidity & Capital Planning team, owning cash flow modeling and forecasting while driving cross-functional initiatives in a high-growth AI environment.
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