
Global energy company delivering energy solutions
Cash Analyst - Castrol at BP
About the role
Entity:
Finance
Job Family Group:
Finance Group
Job Description:
This is a role within the Castrol organisation and the successful candidate will become part of the Castrol ring-fence. If you are part of the ring-fence, it is expected that your employment will move with Castrol to new ownership.
Please note that roles based out of SJS or Sunbury will move to Timber Square, Southwark, from Q4 2027The role:
Castrol are seeking a highly analytical and motivated Cash Analyst to play a critical role in safeguarding daily cash flows and shaping the future of liquidity management across our global business. This role sits at the heart of Castrol’s financial engine and directly supports our “Onward, Upward, Forward” strategy by ensuring the business is well funded, resilient and positioned for growth.
As part of the Cash Management team, you will help to oversee Castrol’s global cash and liquidity position – from daily cash visibility through to medium-term (three-month) liquidity forecasting and planning. Working closely with the Cash Manager and local markets, you will contribute to the consolidated daily cash position, mid-term liquidity outlook, and funding decisions, including activity at the Castrol treasury centre.
This is a unique opportunity to join a newly formed Treasury function, offering genuine scope to shape how things are done. You will contribute to the design of reporting, processes, and ways of working, while also helping to build out the capability of a growing team. If you are excited by the prospect of influencing a developing function, this role offers significant breadth and ownership.
Castrol is a $10bn+ global business, and this role sits within a Treasury team of around ten people. As Cash Analyst, you will support daily cash positioning by analysing cash forecasts, tracking forecast-to-actual performance, and identifying funding requirements to maintain optimal liquidity across the group. You will also play a key role in delivering and continuously improving three-month liquidity and cash forecasts, working closely with finance teams across regions and markets.
Technology and data are central to the ambition of the function. You will help develop systems and tools to enhance forecasting accuracy, optimise liquidity management, and generate meaningful insights from Castrol’s data. In addition, the role provides exposure to policy development, stress testing, and senior-level reporting, offering strong visibility and learning opportunities within Treasury.
What you’ll deliver:
Leveraging your knowledge and experience across corporate treasury operations, systems, policies, and procedures, you will play a key role in establishing and operating Castrol’s standalone Treasury function. Acting as a trusted partner to finance teams and business stakeholders, you will provide insight, clarity, and challenge to support effective cash and liquidity decision-making across the organization.
Key responsibilities include:
-
Deliver clear, accurate analysis of cash forecasts to support daily and short-term liquidity planning, enabling informed funding decisions across the business
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Partner with finance teams to track forecast-versus-actual cash movements, proactively highlighting variances, underlying drivers, and opportunities for improvement
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Generate funding requirement insights from cash forecasts to support timely and well-structured funding decisions
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Provide a comprehensive, currency-level view of daily funding requests from business units, ensuring transparency and consistency across regions
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Identify surplus cash positions across entities and work with stakeholders to support upstreaming activities within intercompany funding frameworks
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Produce high‑quality standard reports and analytical insights that enable teams and senior stakeholders to understand, review, and act on cash and liquidity data
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Execute daily short‑term cash positioning activities, supporting the effective management and protection of Castrol’s multi‑currency cash flows
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Maintain and enhance the funding request tool by onboarding additional businesses and working with users to ensure accurate, consistent, and efficient request processes
What you’ll bring:
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Experience in treasury cash management activities
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Experience in analysing financial risks (e.g. FX)
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Experience in operational process improvement
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Experience in dealing and negotiating with banks
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Academic background preferred- Finance, economics, engineering, data science
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Good knowledge of processes and financial data flows of ERPs
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Development experience with data visualization tools (i.e. Power BI, Tableau) and data analytics tools (e.g. SSMS SQL, Python, DAX, Reg Ex, Dataiku)
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Interest in staying abreast with financial market developments and being able to understand their impact on the business (Rates, FX, Credit, Commodity prices etc.)
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Strong English language knowledge
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Confidence to take decisions based on training and problem-solving skills.
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Strong organizational and time management skills, including the ability to work independently under tight deadlines and pressure and manage multiple tasks simultaneously.
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Excellent problem-solving capability
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Strong attention to detail
Why this role matters:
We’re at a turning point for Castrol. Joining us now means you’ll help shape how our treasury function operates for years to come. You’ll work with a small, collaborative team, gain exposure to senior leaders and play a direct role in Castrol’s transition to a standalone business.
If you want to build something meaningful and grow your skills in a global treasury environment, we’d like to hear from you.
Why join us?
At bp, we support our people to grow in a diverse and exciting environment. We believe that our team is strengthened by diversity.
There are many aspects of our employees’ lives that are important, so we offer benefits to enable your work to fit with your life. These benefits can include flexible working options, a generous paid parental leave policy, excellent retirement benefits, among others!
We will ensure that individuals with disabilities are provided reasonable accommodation to participate in the job application or interview process, to perform crucial job functions, and to receive other benefits and privileges of employment. Please contact us to request accommodation.
Reinvent your career as you help our business meet the challenges of the future.
Apply now!Travel Requirement
Up to 10% travel should be expected with this role
Relocation Assistance:
This role is not eligible for relocation
Remote Type:
This position is a hybrid of office/remote working
Skills:
Analytical Thinking, Analytical Thinking, Asset and project finance, Banking Relationships, Banking solutions, Cash, Claims Management, Collaboration, Commercial Acumen, Communication, Corporate Finance, Corporate structure and group funding architecture, Credit rating management, Curiosity, debt and liquidity forecasting, Debt Capital Markets, Decision Making, Defined benefit pension schemes fund management, Defined contribution pension schemes investment strategy, Digital Automation, Digital cybersecurity, Digital Fluency, Equity Capital Markets, Ethical judgement, Financial framework management {+ 15 more}
Legal Disclaimer:
We are an equal opportunity employer. We do not discriminate on the basis of protected characteristics like race, religion, color, sex, national origin, sexual orientation, veteran status or disability status. Individuals with an accessibility need may request an adjustment/accommodation related to bp’s recruiting process (e.g., accessing the job application, completing required assessments, participating in telephone screenings or interviews, etc.). If you would like to request an adjustment/accommodation related to the recruitment process, please contact us.
If you are selected for a position and depending upon your role, your employment may be contingent upon adherence to local policy. This may include pre-placement drug screening, medical review of physical fitness for the role, and background checks.
Required skills
Cash analysis
Liquidity forecasting
Treasury operations
Financial analysis
Reporting
Process improvement
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About BP

BP
PublicBP is a British multinational oil and gas company engaged in the exploration, production, refining, and marketing of petroleum products. The company operates across all areas of the oil and gas industry including upstream exploration and production, downstream refining and marketing, and renewable energy investments.
10,001+
Employees
London
Headquarters
$78B
Valuation
Reviews
10 reviews
3.5
10 reviews
Work-life balance
3.2
Compensation
2.8
Culture
3.8
Career
2.5
Management
2.7
62%
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Pros
Supportive management and team
Good work-life balance and flexible hours
Strong team culture and collaborative environment
Cons
Poor management and lack of direction
Limited career advancement and growth opportunities
Non-competitive compensation and pay
Salary Ranges
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L2
L6
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L2 · Venture Capitalist L2
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$132,581
total per year
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Difficulty
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14-28 weeks
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50%
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