different levels (up to C-level) Experience in working with cross functional teams in multiple time zones Experience in regulatory engagement, submission, and examinations FX trading, settlement, or processes experience is a plus Knowledge of SDLC process and documentation across different SDLC phases Risk management knowledge is a plus Excellent more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
staff.Responsibilities• Undertaking reviews and implementations of Treasury strategies, policies, target operating models, cash management processes, and technology and systems. • Conducting risk management assessments including foreignexchange, interest rate, credit and commodities. • Providing specialist support to external audit teams, including derivative valuations, hedge accounting, and financial instrument classifications. • Conducting more »
knowledge of transaction banking products and related services (cash management products e.g. digital channels/payments/collections/liquidity management/deposits/FX related business) Excellent communication skills both written and oral Good Excel & PowerPoint skills Fluency in Mandarin is ESSENTIAL more »
Bank’s Enterprise Risk Management Framework (ERMF) and related activities. It also provides independent second line of defense oversight for Traded Market Risk, IRRBB & FX Risk, Operational Risk, Model Risk management activities, and project management activities (i.e., project risk) within the Bank. As an Assistant Vice President of Market Risk more »
Feltham, London, United Kingdom Hybrid / WFH Options
Marc Daniels
join a market-leading company based in Feltham. This role offers incredible benefits, hybrid working and various routes for progression. Responsibilities: Reconciliation of cash, FX and variance analysis Preparation of daily Cash Flow, Cash Flow Forecast and Budgeting Balance sheet reconciliation of all cash related accounts Liaising with banks, cash more »
The best fitted candidate will likely have the following qualities: Proficiency with FIX protocol implementation. Exposure to multiple asset classes (a preference would be FX). Technical experience with scripting languages such as Python or Powershell. Ability to work under pressure and maintain a good level of communication. SQL, Linux more »
business Assist the wider business where required Maintain a professional and dedicated ethic Essential Skills Proven Sales and Revenue track record Strong understanding of FX & CFD’s MetaTrader, CRM, BI, Excel Understanding of the Financial Markets Working knowledge of the Regulatory Environment Organised and Efficient Benefits Uncapped commission structure Vitality more »
Responsibilities: Update the Treasury Balances and Daily positions report. Monitor the Treasury Limits utilisation and make applications for limit renewal and increases. Execution of FX, MM, Bond and IRS/CCS deals via dealing platforms, with subsequent MiFiD II reporting where appropriate. Assist in managing the Bond Investment portfolio; sourcing more »
by providing day-to-day Compliance support, guidance and advice, while performing key Compliance projects, monitoring and assessment responsibilities. ETD core business activities include FX, Loans and Derivatives sales and trading, and asset/liability management for the Bank London Branch. In performing this role: You will identify, understand and more »
preserving long term objectives and regular schedule review. Preferred Qualifications and Experience Strong experience with validating pricing models. Advanced modelling experience with either XVA, FX, rates, credit or commodities and a good highl evel cross asset class product knowledge are required. In depth knowledge of pricing models, stochastic calculus, stochastic more »
Linton, England, United Kingdom Hybrid / WFH Options
Marshall
Report and Accounts and provide accounting advice to the Group Treasury and cash management -Managing the Group's Treasury activities, including cash management and FX Pension schemes - Managing the required financial input to the Pension Trust (DB and DC elements), including payments, valuation, audit and the Groups accounting entries DGM more »
low latency FIX APIs Handling distribution of real-time market data to customers Handling order instructions across a variety of asset classes including CFD, FX, cash equity, and a wide variety of order types including algorithmic and advanced order strategies Utilising Java with specialised low latency programming and optimisation techniques more »
low latency FIX APIs Handling distribution of real-time market data to customers Handling order instructions across a variety of asset classes including CFD, FX, cash equity, and a wide variety of order types including algorithmic and advanced order strategies Utilising Java with specialised low latency programming and optimisation techniques more »
seeking an IT Support Engineer. This company offers various services, including real-time multi-currency payments, accounts, acquiring, indirect scheme access, open banking, and FX solutions. Trusted by over 200 companies, it serves over 10 million customers across the UK and Europe. The company is looking for a skilled IT more »
with ideas, challenge current process and recommend solutions to deliver best practice. You will have experience in cross boarder markets, multi-currency environment driving FX strategy, used to maximising output from ERP’s such as Quickbooks, Sage or Xero. Salary up to £70k + Benefits (Hybrid) If you are a more »
and modern leader to join our team, to lead our rapidly growing sales team (currently 4 people). Ideal candidates will not be traditional FX salespeople but rather come from a modern SaaS or Fintech environment where they have demonstrated exceptional growth and leadership capabilities We need someone who exemplifies more »
them as a Head of Liquidity Management. You will be responsible for overseeing and validating the operational aspects of cash management and managing the FX hedging program and relationships with FX counterparties. This role will have management responsibility for junior liquidity management specialists. Responsibilities: **Cash Management/Forecasting:** Prepare daily … Supervise the cash reconciliation process to ensure alignment between accounting cash levels and custodian balances. Manage two small teams located in London and abroad. **FX Hedging/Counterparty Relationship Management:** Supervise the FX hedging program with support from a junior FX trader. Negotiate commercial terms for ISDA/GMRA documentation. … Manage FX counterparty relationships and ensure compliance with FX counterparty risk management protocols. Serve as the subject matter expert for all internal FX queries. **Process and System Improvement:** Work closely with the investment team and other teams to improve processes around cash management and FX hedging. Assist with technology development more »
their implementation. You will bring with you: 10+ years of deep experience with ERP systems and Netsuite, especially in complex areas like inventory accounting, foreignexchange and intercompany eliminations for consolidations A thorough understanding of all Netsuite accounting modules 3+ first-hand NetSuite implementations with complex, inventory-based more »
using cutting-edge tools. Calculate Net Asset Value (NAV) on a daily, weekly, and monthly basis. Reconcile final fund NAVs with fund administrators. Monitor foreignexchange exposures and advise on currency hedging. Review and reconcile records with custodians and prime brokers. Provide ad-hoc reports and analysis to more »
Horley, England, United Kingdom Hybrid / WFH Options
Carrington Recruitment Solutions
or finalist qualification. We ideally need to see the following experience: Month end exposure Must have exposure to inter-company reporting multi-currency and FX Balance Sheet Requirements Dealing with Complex Accounting Queries Good, solid Excel skills Stakeholder Management skills We want someone with a good attitude and personality to more »
recognisable as the pre-eminent provider of BAAS to leading FI’s and FinTech’s. They an unrivalled suite of products with everything from FX, payments rails, card acquiring and receivables. Double digit growth year on year with continued growth expected to accelerate across all geographies in 2024/2025. more »
instructions, transfer assignment, netting. Working knowledge of Task station, particularly the most up to date version. Understanding of workflows, kick off/cut off. FX and MM product knowledge. Experience being in front of and working with Operations users. Bonus to have experience with the ISO project. This person will more »