Our Business Support teams deliver the vital services to ensure the continued success of our business divisions. These services include HR, Finance, Procurement, Marketing, Legal and Commercial, Estates and Facilities, Core Technology, Corporate Security, IT, and Fleet. Every person in every team is contributing to the lasting impact our Team more »
are more advantageous. Conduct presentations to provide customers with information and advice on vehicles, equipment, aftersales and accessories. Conclude sales contracts, negotiate the appropriate finance products and packages, working with the F&I team. Manage orders and supervise order processing, working with our sales admin department. Carry out follow-ups more »
Heathrow. Job overview The Supplier Operations Manager will provide leadership to the function to ensure that contracts are managed to deliver specified safety, quality, financial, innovation, risk, compliance and performance objectives. This role is responsible for ensuring the whole of the Engineering and Baggage function is commercially aware of its … budgets and has appropriate controls and procedures in place to manage costs, realise financial opportunities and mitigate risks The role needs to ensure the functions achieves EBITDA targets and take a risk base approach to its commercial strategy and deployment of operational plans of the delivery teams. Principal accountabilities Maintain … As part of the budget setting any actions to improve performance in terms of risk or opportunities will be identified. Work closely with the finance and procurement team to ensure fit for purpose contracts are in place providing value for money. Ensure during re-tending of the contract pipeline we more »
Feltham, London, United Kingdom Hybrid / WFH Options
Marc Daniels
An exciting newly-created role has arisen for a Cash Finance Manager to 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 … with banks, cash providers Preparation Group Cash flow Reporting Preparation of payments Overseeing a small team of accounts assistants Work collaboratively with the wider finance team Requirements: CIMA, ACCA, ACA qualified, part-qualified or equivalent Previous use of SAP is advantageous Advanced excel skills By applying you will be registered more »