Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Frankfurt am Main, Hessen, Germany Hybrid / WFH Options
BASF Services Europe GmbH
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Mannheim, Baden-Württemberg, Germany Hybrid / WFH Options
BASF Services Europe GmbH
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Ludwigshafen am Rhein, Rheinland-Pfalz, Germany Hybrid / WFH Options
BASF Services Europe GmbH
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Freiburg im Breisgau, Baden-Württemberg, Germany Hybrid / WFH Options
BASF Services Europe GmbH
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Birmingham, West Midlands, United Kingdom Hybrid / WFH Options
Robert Walters
stay abreast of evolving challenges in banking & payments in challenging environments Compiling quarterly summary economic forecasts including FX rate & inflation forecasts Performing daily treasurycashmanagement activities and weekly liquidity checks including support of investment of reserve funds to maximise income returns Reporting returns on cash investments and help to develop tools & reports to enable visibility of investment returns Development & implementation of increased cash flow forecasting and reporting as required (including improved visibility & monitoring of country office bank balances) Ensure the maximum impact of funds by minimising the exposure of foreign currency for field … offices operational currencies Preparing and planning FX flow forecasts to effectively manage cash flow, currency requirements and levels of liquidity to mitigate liability risk in the department and the wider organisation Ensuring that cash flow reporting is adequate to minimise liquidity risk and allow the organisation to operate more »
Job Description Finance Manager The ideal candidate will be responsible for working with senior management to develop financial strategies for the organisation. You are comfortable handling large amounts of data, acting as a business partner, decision maker, and providing regular financial reporting. … Manage the finance team of 3personnel Complete financial accounting and forecasting Deliver reports and metrics to leadership Duties include: Preparation of budgets, forecasts and cash flows Carry out financial modelling and scenario modelling to aid key decision making Maintenance of financial ledgers and accounting processes of 2 group companies … Maintaining fixed asset register Manage the Purchase Order (PO) procedure Managing bank transactions and bank reconciliation Timely production of statutory and internal financial reports Cashmanagement and treasury duties Overseeing of the Payroll process in UK, Australia and Luxembourg Oversight of company tax and VAT returns Managementmore »
Location: Hybrid London or Birmingham Salary: £75,000 - £95,000 dependant on experience Role Do you havegreat knowledge of financial services and Wealth Management? Have Experience in managing projects focused on digital solutions, processes and/or digital products? Then this may be the ideal role for you … regular customer status meetings. Must have experience in the following – • Client Management & Portfolio Accounts. • Costs and Charges. • UK & Overseas Settlements. • Custody & Reconciliations. • CashManagement & Reconciliations. • Corporate Actions. • Dividends. • Stock Transfers. • Finance/Accounting. • Client Reporting. • Service Fees. • UK Regulatory Reporting. • UK Tax Reporting. Please apply more »
an exciting new Deputy Head of Treasury position reporting into the Head of Treasury & Capital Markets at an international bank. Key Responsibilities: Overall management for the Bank’s liquidity profile, ensuring that appropriate levels of liquidity are maintained in line with strategic and prudential requirements. Supervise a small … investment and trading and implementing strategies in a profitable manner. Manage the Bank’s foreign exchange exposure Manage the Bank’s Money Market and Cashmanagement portfolio including HQLA Key profit & loss responsibility for FX Income, fixed income and money market activities. Develop and maintain commercial relationships … related projects commissioned by the Bank Key Skills & Capabilities Commercially astute and able to develop models and forecasts to drive business growth and improve cash flow. Strong interpersonal skills Excellent written and oral communication skills A minimum of 8 years working in Treasury in Financial Services, ideally in banking more »
As Finance Manager reporting into the VP of Finance, you’ll be overseeing all aspects of the accounting function, ensuring accurate financial reporting, effective cash flow management, and compliance with tax regulations in both the UK and the US. You will also partner with the leadership team … tax schedule preparation, and communication with tax advisors. Manage audit schedules and coordinate with external auditors for the annual audit. Implement and maintain treasurymanagement practices to optimize cash flow and mitigate risks. Prepare and submit statutory returns to Companies House and relevant US regulatory bodies. Maintain more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … solutions. The unit Regional Treasury EMEA is responsible for the Treasury and CashManagement activity of BASF entities in EMEA. The activities are divided in the Front Office, Middle Office and Back office teams. Within our Regional Treasury team, we offer you a chance to learn about more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … solutions. The unit Regional Treasury EMEA is responsible for the Treasury and CashManagement activity of BASF entities in EMEA. The activities are divided in the Front Office, Middle Office and Back office teams. Within our Regional Treasury team, we offer you a chance to learn about more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … solutions. The unit Regional Treasury EMEA is responsible for the Treasury and CashManagement activity of BASF entities in EMEA. The activities are divided in the Front Office, Middle Office and Back office teams. Within our Regional Treasury team, we offer you a chance to learn about more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … solutions. The unit Regional Treasury EMEA is responsible for the Treasury and CashManagement activity of BASF entities in EMEA. The activities are divided in the Front Office, Middle Office and Back office teams. Within our Regional Treasury team, we offer you a chance to learn about more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … solutions. The unit Regional Treasury EMEA is responsible for the Treasury and CashManagement activity of BASF entities in EMEA. The activities are divided in the Front Office, Middle Office and Back office teams. Within our Regional Treasury team, we offer you a chance to learn about more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … solutions. The unit Regional Treasury EMEA is responsible for the Treasury and CashManagement activity of BASF entities in EMEA. The activities are divided in the Front Office, Middle Office and Back office teams. Within our Regional Treasury team, we offer you a chance to learn about more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … solutions. The unit Regional Treasury EMEA is responsible for the Treasury and CashManagement activity of BASF entities in EMEA. The activities are divided in the Front Office, Middle Office and Back office teams. Within our Regional Treasury team, we offer you a chance to learn about more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … solutions. The unit Regional Treasury EMEA is responsible for the Treasury and CashManagement activity of BASF entities in EMEA. The activities are divided in the Front Office, Middle Office and Back office teams. Within our Regional Treasury team, we offer you a chance to learn about more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … solutions. The unit Regional Treasury EMEA is responsible for the Treasury and CashManagement activity of BASF entities in EMEA. The activities are divided in the Front Office, Middle Office and Back office teams. Within our Regional Treasury team, we offer you a chance to learn about more »