Cash Control Analyst
Job Title
Cash Control Analyst
Job Description
Minimum compensation: starting from 7 000 PLN. The final offer will be determined based on the candidate's experience and competencies.
So, who are we?
Hello, we're IG Group. We are a publicly-traded FTSE250 FinTech company who run mobile, web and desktop platforms that help our clients trade stocks & shares, leveraged products, Futures & Options and Crypto.
We are ambitious. Over 340,000 people already use our platforms. We're global with offices in 18 countries and products in 16 regions. We're hungry to move faster, ship better product for our customers and grow our user base. We believe in high autonomy, and we want people who are looking to do things differently in order to create better experiences for our customers.
We work in cross-functional teams and are laser focused on increasing the number of active clients we serve to drive sustainable growth.
Your team
The Cash Control Team oversees daily reconciliation of client and firm cash, ensuring the accuracy and integrity of financial records across multiple entities and jurisdictions. We manage end-to-end cash operations, including bank payment processing, cash management, and the production of key regulatory and operational reports.
Your role in the Team's Success
As a member of the Cash Control Team, you will be responsible for the identification, investigation, and resolution of reconciliation discrepancies, ensuring the accuracy of client and firm cash positions on a daily basis.
The role involves the preparation of liquidity and regulatory reports, as well as the processing and oversight of bank payments across multiple currencies and jurisdictions.
You will work closely with global banking institutions and a broad range of internal stakeholders, contributing directly to the integrity of IG's financial controls and its compliance with external regulations.
Your work plays a critical role in safeguarding client money and supporting the broader organisation's operational and regulatory objectives.
What you'll do
Oversee and complete the daily reconciliation of client and firm cash positions within AutoRek, ensuring completeness, accuracy, and adherence to internal control standards
Lead the investigation and resolution of reconciliation breaks, coordinating with relevant internal and external stakeholders to ensure timely and documented resolution
Calculate and process daily client money segregation in strict accordance with regulatory requirements, ensuring transfers are executed accurately and within required time frames
Liaise proactively with the Treasury and Financial Control teams to monitor compliance with client money regulations, internal liquidity buffers, and firm-wide cash management policies
Produce and distribute daily liquidity and cash management MI reports, ensuring data integrity and alignment with regulatory and business reporting requirements
Respond to and manage queries from internal stakeholders and external parties, including banking and other financial institutions, providing accurate and timely information
Drive continuous improvement initiatives within the reconciliation, payment processing and cash managements areas, identifying operational inefficiencies and recommending risk-mitigating solutions
Coordinate and support internal and external audit activities, including CASS audits, ensuring all documentation, evidence, and process narratives are accurate and readily available
Maintain and regularly review procedures manuals, process documentation, and control frameworks, ensuring they reflect current practices and meet regulatory and audit standards
What you'll need for this role
Minimum 2 years' experience within Financial Services, with prior exposure to reconciliation, cash management, or client money operations preferred
Minimum BA degree in Business, Finance, Economics, or a related discipline
Proficiency in Microsoft Excel and experience working with reconciliation or financial systems (experience with AutoRek is an advantage)
Strong analytical and problem-solving skills, with exceptional attention to detail and the ability to investigate and resolve complex discrepancies
Excellent communication skills in English, with the ability to liaise effectively with internal stakeholders and external parties including banking institutions and auditors
Demonstrated ability to manage multiple priorities, meet regular deadlines, and take full ownership of assigned responsibilities in a dynamic and fast-paced environment
Proactive and self-motivated, with a strong sense of initiative and the ability to work both independently and collaboratively within a team
Knowledge of CASS regulations and client money segregation requirements would be a distinct advantage
How we work
We try to take a thoughtful approach to our ways of working as a company. We follow a hybrid working model with 3 days in the office -- which we think balances the need to collaborate effectively and connect with each other. When it comes to how we deliver, there are 5 things we want everyone to do to drive high performance, better learning and career satisfaction:
Lead and Inspire: Drives trust, alignment, and enthusiasm
Think Big: Focus on the problems that most impact commercial outcomes
Champion the client: Understand and prioritise client's needs
Deliver at pace: Push for fast, sustainable growth;
Raise the bar: Take ownership, be accountable and share feedback
We believe that diversity is vital to success, it fuels creativity, drives innovation and sets us up for global success. We're committed to building teams with a variety of perspectives and skills to help us realise our vision and strategy, that's why we encourage applications from people with diverse backgrounds and experiences to join us on this journey. Learn more about our D&I approach here.
The Perks
Your growth fuels our success! Thrive with tailored development programs, mentoring opportunities with leaders, and clear career progression. Expand your network through committees, sports and social clubs. Enjoy extra time off for volunteering and community work.
Home office equipment reimbursement
Performance relate bonus
Private medical cover for you and your family/partner (Medicover)
Multikafeteria system (you can choose a multisport card, vouchers, etc.)
Life insurance (Generali)
LinkedIn Learning platform free access
Share Plans for Employees
Career-focused technical and leadership training in-class and online, incl. unlimited access to LinkedIn Learning platform
Well-being events as well as Employee Assistance Programme
Summer picnic, New Year party and other social events
Three additional days off a year - one to celebrate your Birthday and two for voluntary work
App-based parking spots booking system
Stretching sessions
Learn more about the Perks here!
Join us for this exciting journey. Apply now!

IG Group
IG Group to dynamiczna firma technologiczna, która tworzy innowacyjne rozwiązania dla nowoczesnego biznesu. Specjalizujemy się w tworzeniu oprogramowania, aplikacji mobilnych oraz systemów zarządzania danymi.
Cash Control Analyst
Cash Control Analyst