challenge with meaningful impact in a dynamic setting, this could be the perfect next step in your career. What you'll do: * Support and liaise with the trading and foreignexchange teams in post-trade activities by working closely with brokers and custodians to facilitate settlement and resolve any issues that arise.* Oversee daily operational processes to ensure … academic capability and commitment to learning.* Proven experience working within operations or middle office functions in financial services- ideally covering areas such as data management, corporate actions, trade support, foreignexchange or account administration- is highly desirable.* Strong analytical skills combined with critical thinking abilities enable you to approach complex problems methodically while maintaining high levels of diligence. More ❯
and develop a broad range of skills including fundamental and macro analysis, research, portfolio construction, risk management and execution. They currently run discretionary strategies in Equities, Commodities, Rates/FX, and Credit including Volatility trading across all asset classes. If you have an interest in trading and would like to learn how to manage your own risk over time, I More ❯
expanded into UHFT with teams working on satellite/FPGA technologies, as well as longer-term investment style strategies. They are actively hiring Junior Quantitative Researchers for multiple Equities, FX and Futures teams. Responsibilities Research and analyse large datasets, extracting patterns and trends. Gather insights to build and deploy systematic trading strategies. Monitor performance and behaviour of existing strategies, looking More ❯
Platform Developer or similar role. Strong proficiency in Power Apps, Power Automate, Power BI, and Dataverse. Experience with Microsoft 365, SharePoint, Dynamics 365, and Azure services. Proficiency in Power Fx, JavaScript, JSON, and REST APIs. Knowledge of ALM (Application Lifecycle Management) and CI/CD practices for Power Platform. Understanding of Dataverse security roles, governance, and compliance best practices. Strong More ❯
Remote, Hampshire, United Kingdom Hybrid / WFH Options
Shaw Daniels Solutions Ltd
Platform Developer or similar role. Strong proficiency in Power Apps, Power Automate, Power BI, and Dataverse. Experience with Microsoft 365, SharePoint, Dynamics 365, and Azure services. Proficiency in Power Fx, JavaScript, JSON, and REST APIs. Knowledge of ALM (Application Lifecycle Management) and CI/CD practices for Power Platform. Understanding of Dataverse security roles, governance, and compliance best practices. Strong More ❯
enhance working capital efficiency through innovative treasury-led structures. Evaluate and deploy financing arrangements to support international growth and supply chain resilience. Derivatives & Risk Management Manage group exposure to FX, interest rate, and commodity risks, ensuring appropriate use of derivative instruments in line with treasury policy. Oversee derivatives execution, documentation (ISDA/CSA), valuation, and hedge accounting compliance. Monitor global More ❯
Waterlooville, Hampshire, South East, United Kingdom Hybrid / WFH Options
ClearCourse
about product and code quality, balances technical excellence with delivery speed. Required experience/characteristics : At least 5 years as Senior Developer experience across these technologies Familiarity with Java FX or any Java UI components Backend: Java, Spring Boot or Micronaut or any other multi-layered architecture framework and ORMs (e.g. JPA/Hibernate). Relational Databases like MSSQL, PostgreSQL More ❯
London, South East, England, United Kingdom Hybrid / WFH Options
Communicate Recruitment Solutions LTD
and long-term cash flow forecasting and variance analysis Maintain bank account structures, monitor funding, and support intercompany flows Help optimise treasury processes and support automation projects Contribute to FX exposure tracking and hedging activities Assist with internal and external reporting requirements What We’re Looking For Experience in a treasury, cash management, or finance function, ideally in a tech More ❯
execution and ensure accuracy. Investigate and resolve payment and banking issues, acting as a liaison between internal teams and clients. Offer strategic currency guidance, using your understanding of global FX solutions to identify process improvements. Act as the primary day-to-day contact for clients, ensuring clear communication and timely service delivery. Manage client accounts, monitor progress, and address concerns More ❯
execution and ensure accuracy. Investigate and resolve payment and banking issues, acting as a liaison between internal teams and clients. Offer strategic currency guidance, using your understanding of global FX solutions to identify process improvements. Act as the primary day-to-day contact for clients, ensuring clear communication and timely service delivery. Manage client accounts, monitor progress, and address concerns More ❯
London, South East, England, United Kingdom Hybrid / WFH Options
Communicate Recruitment Solutions LTD
multiple entities and currencies. Support preparation of short- and long-term cash flow forecasts, including variance analysis. Maintain bank account records, ensure adequate funding, and process intercompany transactions. Monitor FX exposures, prepare reports, and support execution of hedging strategies. Work with the Treasury Manager to identify and deliver process improvements, including automation projects. Liaise with internal finance teams, banking partners More ❯
Inside IR35 - Investment Banking Business Area/Dept Overview The APS F2B Flow (Application Production Support - Front to Booking Flow) department is a global entity providing services to the FX, EQD, Rates and Credit businesses within the Global Market group. The EQD team is in charge of providing solutions to EQD traders and sales through their functional expertise of the More ❯
group finance Lead on share-based payment accounting (IFRS 2) Support M&A activity by advising on deal structure from a technical accounting perspective Strengthen intercompany processes and reduce foreignexchange exposure risks Partner with the Tax team on financial reporting for planning and compliance matters Collaborate with the shared service centre to support ongoing corporate initiatives Deliver More ❯
the implementation and delivery of projects along with a pipeline of BAU enhancement/fixes. Technical/Development background with preferred experience in server-side C# development. Expert in FX/Rate products. Motivated to work directly with traders and research quants. Key Competencies Multi-stakeholder arbitration. Communication and interpersonal skills. Analytical and problem-solving skills. Business oriented and positive More ❯
work and speed up approvals and payments Own reconciliations of AP ledgers, ageing reviews, and vendor management Partner with the wider finance and treasury teams on cash movements and FX transactions Provide audit support and ensure compliance with VAT rules (including reverse charge) About You Proven experience managing AP functions, ideally in a high-growth or evolving business Track record More ❯
Brighton, England, United Kingdom Hybrid / WFH Options
Sprung Studios - UX-UI Design
functionality Implement UI design assets in-game Design and create UI and UX materials and particles Design and create Textures and Images for in-engine use Integrate animations and FX into the project What You’ll Bring: 2+ years of games industry experience Adobe Suite experience Extensive knowledge of UE4 and Unity Experience in creating complete UI systems Bringing UI More ❯
significant savings. Manage all aspects of the procurement process from sourcing and negotiation to PO placement and stock reconciliation. Analyse and monitor historical vs current costs, purchase volumes, and foreignexchange impacts. Generate accurate reports on purchasing performance, trends and forecasts. Utilise ERP systems (e.g., NAV) to create POs and maintain procurement data integrity. Work closely with sales More ❯
Hilsea, Hampshire, United Kingdom Hybrid / WFH Options
CMA Recruitment Group
would suit a candidate with proven consolidations experience within a group function. What will the Group Systems Accountant role involve? Manage monthly group consolidations in Cognos Controller, maintain ledgers, FX rates, and month-end timetables, and post group-level journals while ensuring data quality and timely regional submissions. Generate and distribute month-end reports, support year-end audits, and provide More ❯
Portsmouth, Hilsea, Hampshire, United Kingdom Hybrid / WFH Options
CMA Recruitment Group
would suit a candidate with proven consolidations experience within a group function. What will the Group Systems Accountant role involve? Manage monthly group consolidations in Cognos Controller, maintain ledgers, FX rates, and month-end timetables, and post group-level journals while ensuring data quality and timely regional submissions. Generate and distribute month-end reports, support year-end audits, and provide More ❯
SDS, FAT, SAT) Creation of Risk Assessments, Method Statements, Site Progress Reports and other paperwork Configuration and programming of multiple PLC, HMI, SCADA and telemetry systems including: Mitsubishi (A, FX and Q range, Mitsubishi HMIs (Beijer) Experience of telemetry outstations such as the Serck PX24, Schneider Talus T4e & Seprol S2000 would be ideal, but not essential Skills/Background: A More ❯
/Product Manager with some Project Management. Candidates MUST have excellent knowledge of predominantly Fixed Income and Equities E-Trading/Exchange Connectivity with any Futures & Options/FX beneficial and must have a strong Technical Understanding. IF YOU DON’T HAVE THE REQUIRED FINANCIAL KNOWLEDGE PLEASE DO NOT APPLY FOR THIS ROLE. An ideal candidate may come from … of Databases - SQL Server/Oracle - including performance issues Knowledge of any of the ISV’s products - Trading Technologies, Stellar, ULLink, WebICE, Object Trading, Fidessa, ION/Patsystems, Trayport. Exchange Connectivity – ICE/LIFFE, Eurex, CME/CBOT, Euronext, Xetra, Chi-X, LME, LSE, NYSE. FIX Connectivity – Client On-boarding, Support/Troubleshooting of FIX Logs/Connections. Other More ❯
London, South East, England, United Kingdom Hybrid / WFH Options
Communicate Recruitment Solutions LTD
for a Treasury Manager to join their fast-paced finance team. This is a key role responsible for driving robust treasury operations, improving cash visibility, and supporting liquidity and FX risk management across the group. You'll play a pivotal role in enhancing the company’s cash forecasting capabilities as they scale internationally. Key Responsibilities: Manage daily cash positions, liquidity … planning, and short-term forecasting Oversee bank relationships and optimise treasury processes Support FX exposure management and hedging activities Drive automation and improvements in treasury systems and reporting Collaborate cross-functionally with finance, product, and investor teams Ideal Candidate: Proven treasury experience, ideally in a fast-paced or tech-driven environment Strong understanding of cash flow forecasting, FX, and banking More ❯
Salary: £30k basic plus uncapped commission Location: London Central Sector: FX/FinTech Role: Sales Development Representative My client are a global Fintech. They apply tech to all small-medium size businesses automate financial processes and enhance them. This allows them to transact internationally by eliminating boundaries related to traditional procurement. One of the fastest growing within the FX sector … prospective clients in order to secure their business Build rapport with key decision makers to schedule new business meetings THE IDEAL CANDIDATE No degree necessary! Office experience Passion for FX/Finance Intense drive to be successful Money motivation Excellent communication and interpersonal skills Ambitious and driven - hit targets and progress Confident-they want personalities in their office More ❯
London, South East, England, United Kingdom Hybrid / WFH Options
Communicate Recruitment Solutions LTD
plays a central role in powering that growth. This is a fantastic opportunity to step into a fast-paced, tech-led environment where you’ll help manage liquidity, support FX activity, and improve cash operations in a business that values innovation and agility. What you’ll be doing: Manage daily cash positions across multiple currencies and accounts Build and maintain … short- and medium-term cash flow forecasts to support funding decisions Assist with FX execution and support currency risk management Oversee treasury-related payments and intercompany funding flows Produce reports on cash, liquidity, and risk for senior stakeholders Support process automation and contribute to treasury system improvements What we’re looking for: Experience in cash management, treasury operations, and/… or FX in a corporate or fintech setting Comfortable using Treasury Management Systems (TMS) and Excel/Google Sheets Strong communication skills, with confidence working across teams and with external partners Part-qualified or studying toward ACT, ACCA, CIMA, or CFA (preferred) Detail-oriented, proactive, and ready to work in a fast-moving, evolving environment Why join More ❯