from audit experience) Commercially focused with strong technical accounting skills Previous experience in consolidating management accounts from multiple entities Previous experience in dealing with foreignexchange and transfer pricing aspects Previous experience within or with manufacturing businesses would be an advantage Advanced Microsoft Excel skills with a sound more »
Central London to join a highly motivated and dynamic global sales team. The company is the worlds leading provider of intelligence for the Global ForeignExchange, Fixed Income Markets and Political Risk, and have continued to grow throughout 2020, 2021 and 2022. Working with companies like JP Morgan more »
liability frameworks, and consequential loss. Demonstrates exceptional problem-solving abilities and meticulous attention to detail. Familiarity with Data Protection laws and regulations. Experience in foreignexchange, multicurrency products, and understanding of IP/IT and related regulatory frameworks is advantageous. Good understanding of key contractual principles (e.g., contract more »
Manchester, North West, United Kingdom Hybrid / WFH Options
SF Recruitment (Manchester)
well as monitoring daily cash positions and forecast short-term cash flows to ensure efficient liquidity management and management of daily money market and FX dealing. This role will suit a candidate who has experience in all aspects of the above named treasury responsibilities who is looking to continue developing more »
background in using numerical methods including Monte-Carlo, and Stochastic Calculus for vanilla & exotic derivative valuations. Knowledge of major derivative products in equity, rates, FX or commodity markets. Particularly options. Understanding of back-testing and out-of-sample testing methodologies. Solid understanding of volatility products and vol surface modelling. Programming more »
developing and implementing treasury strategies, overseeing cash management operations, and ensuring compliance with regulatory requirements. Key Responsibilities: Treasury operations; prepare, review & authorise daily settlements & FX trades. Undertake complex scenario modelling to anticipate settlement inflows/outflows and plan effectively. Design & automate financial control & bank reconciliation processes and ensure end-to more »
Role: Candidate will help with the system-wide design and build out of a quantitative futures and FX portfolio focused on high and mid-frequency signals and strategies. An ideal candidate would possess a passion for technology, creativity, a desire to take ownership of their work, and the ability to more »
Science, Information Technology, or related field. Minimum 4 years of experience in operations or infrastructure management within the FinTech industry, preferably with exposure to FX trading platforms. Proficiency in FIX protocol implementation within financial markets. Strong understanding of technical infrastructure components, network protocols, and trading environments. Experience with operating systems more »
Role: Candidate will help with the system-wide design and build out of a quantitative futures and FX portfolio focused on high and mid-frequency signals and strategies. An ideal candidate would possess a passion for technology, creativity, a desire to take ownership of their work, and the ability to more »
Science, Information Technology, or related field. Minimum 4 years of experience in operations or infrastructure management within the FinTech industry, preferably with exposure to FX trading platforms. Proficiency in FIX protocol implementation within financial markets. Strong understanding of technical infrastructure components, network protocols, and trading environments. Experience with operating systems more »
role within the organisation's Information Security team. Our client, recognized as a leader in algorithmic trading, operates globally with a focus on Equity, FX, Fixed Income, Commodity & Options markets. They are committed to maintaining the highest standards of security across our physical and IT infrastructure. As a member of more »
role within the organisation's Information Security team. Our client, recognized as a leader in algorithmic trading, operates globally with a focus on Equity, FX, Fixed Income, Commodity & Options markets. They are committed to maintaining the highest standards of security across our physical and IT infrastructure. As a member of more »
internal and financial controls and processes. Assisting with the monthly Management Accounts preparation and presentation, including AP/AR reporting, expenditure analysis and investigation, FX reconciliations and reporting. Developments of new reports using Excel, Power BI and SAP Delivering training in elements of SAP Business ByDesign Answering queries related to more »
Quantitative Finance, or a related technical field. Experience writing code to analyse large sets of data. Previous experience electronic trading specifically within Crypto/FX/Futures Strong software development skills, particularly in Python and C++ Familiarity with all aspects of the cryptocurrency markets and blockchain technology. This is a more »
internal and financial controls and processes. Assisting with the monthly Management Accounts preparation and presentation, including AP/AR reporting, expenditure analysis and investigation, FX reconciliations and reporting. Developments of new reports using Excel, Power BI and SAP Delivering training in elements of SAP Business ByDesign Answering queries related to more »
IT solution that will support our global standardised business processes. Additional: Strong understanding of business processes in the Treasury domain including In-House Banking, FX Hedging and Intercompany Netting In-depth knowledge of SAP S/4 landscape and associated BTP (Business Tech Platforms) solutions, especially in Treasury and Management 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 »
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 »
global clients across ETD/OTC cleared products. Trade Lifecycle Support: Handle trade lifecycle processes, including cash and collateral management, static data updates, and FX processing. Timely Query Resolution: Acknowledge, investigate, and resolve client queries within expected timeframes, adhering to industry standards. Root Cause Analysis: Provide in-depth analysis and more »
Hemel Hempstead, Hertfordshire, United Kingdom Hybrid / WFH Options
LHH Recruitment
Produce board papers regarding 3 year plan. Risk Management - P&L impact Treasury are responsible for are the financial costs/income. This includes FX movement, interest costs/income and PCGs. Monthly forecast needs to be produced and reviewed. Maintain banking relationships with UK Area banks. Ad hoc projects 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 »
Degree in/Finance or another numerical discipline including financial derivative module Knowledge on financial instruments such as Bonds, Interest Rate Swaps, Equity options, FX options, Swaptions, etc. Understanding of applied mathematics in derivative products valuation and strong analytical skills Organisational skills with ambition to see projects and deliverables through 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 »