We are seeking a Kyriba Functional Subject Matter Expert (SME) to support the implementation, configuration, and ongoing management of the Kyriba TreasuryManagement System. This role requires extensive knowledge of Kyriba modules, including cashmanagement, payments, liquidity management, and bank connectivity … party vendors. Key Responsibilities: Implementation & Configuration: Lead or support the implementation of Kyriba Treasury solutions, ensuring alignment with business needs Configure Kyriba modules (e.g., cashmanagement, liquidity, payments, financial transactions) to support treasury functions Customize Kyriba interfaces and workflows to optimize the system for end-user needs … and maintain appropriate controls, security settings, and risk management practices Required Skills & Qualifications: Technical Expertise: 6+ years of experience in Kyriba TreasuryManagement System Strong functional knowledge of Kyriba modules, including cashmanagement, payments, liquidity management, and reporting Familiarity with banking More ❯
known name in the growth investment space. This opportunity supports the deal team and assists in the deal execution process, pipeline management, cashmanagement, and data analytics. This opportunity is aimed at candidates with 2 – 5 years of experience within financial services, and specifically those More ❯
technologies used by the Bank, including General Ledger, Financial Accounting Hub for revenue accounting, procure to pay, expense management, project financial accounting, cashmanagement & fixed asset management. The Oracle Fusion Financial/Oracle e-Business suite is used heavily across the Bank Key duties include … sustainable and efficient accounting technology operating model. Requirements; Understanding of technology used in Finance and experience working with key financial functions such as management of a General Ledger, Financial reporting (balance sheet, P&L, Income statement), revenue and expense management, reconciliation and controls. Understanding of a More ❯
Operations Lead UK and Europe. You will work alongside the Sales & Distribution, Technology, Finance and Outsourced Operations teams to manage data onboarding, premium and cashmanagement of speciality underwriters within Europe and UK, at Accelerant we call them members. In this role you will build relationships and … regulatory reports onboarding procedures. Responsible for onboarding of new Tax authorities and liaison with the Tax department Manage reconciliation between Written & Paid Bordereaux against cash received, manage, and oversee the transition to Outsourced Operations team DUA & Credit Control teams Liaise with members on invoicing procedures at the onboarding stage … environment of continuous improvement Provide Operations Health reports for the monthly member meetings. Deliver, alongside the team, the Operational KPIs for onboarding, premium and cash operations Overseeing collection procedures and being a point of escalation for the Credit Controllers on difficult to collect cashes. Ensuring that targets for debt More ❯
Openlink Findur. We are seeking an experienced Business Analyst with deep expertise in Openlink Findur to support front-to-back trading operations, risk management, and regulatory compliance within energy, commodities, or capital markets. The ideal candidate will have hands-on experience working with Openlink Findur, including trade lifecycle … processes, position management, P&L reporting, and system integration. Key Responsibilities: Act as a liaison between business stakeholders and technical teams in the design and implementation of Openlink Findur solutions. Gather, analyse, and document business requirements related to trade capture, risk, settlements, and reporting processes. Support configuration and … Strong Business/Technical Analyst Experience Some exposure to Openlink Findur project design and implementation/support experience. Solid industry experience in treasury and cashmanagement from the banking or commodities industry. Experience with ETRM/CTRM systems , particularly in finance Solid understanding of trading products including More ❯
client is looking for an Oracle eBS Financials Functional Consultant who is experienced in the implementation of Oracle EBS finance modules GL, Fixed Assets, CashManagement, AGIS and eBusiness Tax, and with knowledge of AP, AR and Project Accounting. In this role, you will be responsible for More ❯
America. What is UK CMB Data & Analytics? UK Commercial Banking Data & Analytics supports HSBC’s business capabilities in trade and receivables financing, liquidity and cashmanagement, capital financing and investment banking, payments, and credit and lending for corporate and institutional clients covering over 50 key global locations. … tooling. Skills & Requirements: Demonstrable coding experience with SAS, SQL, and Python. Experience with Google Cloud Platform (GCP). Previous HSBC experience. Strong stakeholder management skills with the ability to explain complex technical solutions to audiences of varying technical knowledge. Strong analytical reasoning. Highly developed analytical skills to extract … information from data and translate it into business language and financial impacts. Ability to shape projects from inception and contribute ideas. Effective time management for both individual and team projects. Ability to coach other analysts. Excellent oral and written communication skills with the ability to influence and communicate More ❯
business processes, reporting, and security. Deep expertise in one or more Workday Financials functional areas such as Accounting, Banking & Settlements, Budgets, Expenses, Projects, and Cash Management. Proven experience in implementing and supporting Workday Financials in a production environment. Strong consulting and client engagement skills, with the ability to manage More ❯
Why Choose Bottomline? Are you ready to transform the way businesses pay and get paid? Bottomline is a global leader in business payments and cashmanagement, with over 30 years of experience and moving more than $10 trillion in payments annually. We're looking for passionate individuals More ❯
financial service providers to assist them in client matters. Our projects are diverse, ranging from advising on tokenisation, decentralised finance, custody, governance, and treasurymanagement operations to acting as independent auditors' experts in financial audits of firms holding or utilising digital assets. Position Overview: This is an entry More ❯
Centre (Hybrid) Industry: FinTech | Sales | Entry-Level Start Date: ASAP This business is transforming how major organisations manage their finances. Their smart payment and cashmanagement platform helps companies like Co-op, Iceland, Ted Baker, ITV, and Boohoo automate complex banking tasks, stay in control of their … cash flow, and eliminate the stress of late payments and manual errors. Think of their tech as a GPS for business finances—giving finance teams full visibility over every transaction, in real time, without the need for spreadsheets or multiple banking portals. It’s fast, smart, and already trusted More ❯
for individuals who have experience in Openlink Findur project design and implementation/support experience coupled with a further industrial experience in treasury and cashmanagement from the banking or commodities industry. This is an urgent, inside IR35 contract requirement so if you have the required experience More ❯
and financial partners. Key Responsibilities: In this role, you'll be responsible for: Leading all aspects of financial management, including budgeting, forecasting, cash flow management, and financial reporting. Ensuring full compliance with FCA requirements, including safeguarding client funds, capital adequacy monitoring, and financial reporting obligations. … with FCA rules Managing relationships with banks, auditors, and regulatory bodies. Overseeing the implementation and maintenance of strong internal financial controls and risk management frameworks. Collaborating closely with the CEO and executive leadership on business strategy, fundraising activities, and commercial growth. Developing and maintaining financial models and dashboards … in financial decision-making. Preparing regulatory submissions and managing FCA authorization, safeguarding, and e-money/payments services audits. Advising on corporate structuring, treasurymanagement, and funding strategies. Note: Responsibilities and tasks outlined in this document are not exhaustive and may change based on the company's needs. More ❯
ambassador. Technical Must haves: Fully conversant with SAP Finance solutions, specifically: FI – General Ledger, Accounts Receivable, Accounts Payable, Asset Accounting, Bank Accounting, Travel Management, Funds Management, Legal Consolidation CO – Cost Element Accounting, Cost Center Accounting, Activity Based Costing, Internal orders, Product Cost Controlling, Profitability Analysis, Profit … S4HANA exposure with S4Finance and Activate delivery methodology Technical Nice to have : Exposure to S4HANA Public Cloud or SAP Business By Design solutions TreasuryManagement experience Good understanding of Planning and Consolidation using SAP BPC & BW (or equivalent technologies) Disclosure Management Benefits: Join our award-winning More ❯
IT Business Analyst (TreasuryManagement) London based Up to £125k per annum Role Summary Aubay UK is seeking an experienced IT Business Analyst to join our team. The ideal candidate will bring extensive expertise in treasurymanagement and quantum upgrades. This role involves communication with high … and prioritization. Initiate, plan, execute, monitor, and control Business Analysis activities on projects within agreed parameters of cost, time and quality. Lead stakeholder management activities and large design sessions. Lead teams to complete business analysis on projects. Set the direction for business analysis activities. Propose improvements. About Aubay More ❯
liquidity strategies, executing FX trades, and managing treasury functions to ensure optimal capital allocation and risk management. Key Responsibilities: FX Trading & OTC Desk Management: Oversee daily FX trading operations, ensuring effective execution with liquidity … providers. Manage the OTC desk, maintaining strong relationships with trading partners. Execute trades efficiently and monitor market conditions to capitalize on opportunities. Liquidity & TreasuryManagement: Develop and implement strategies to manage and optimize liquidity. Forecast liquidity requirements and manage the company’s cash positions. Implement hedging strategies … Ensure compliance with internal policies and external regulations. Maintain detailed records of all transactions and treasury activities. Qualifications: Proven experience in FX trading, treasurymanagement, or liquidity management. Strong analytical skills and a solid understanding of risk management. Experience in fintech or cross-border payments is a plus. More ❯
the product owner, lead engineers, stakeholders, and customers to refine requirements and deliver high-quality solutions. Your contributions will enhance our cloud-based treasurymanagement system, fostering rapid innovation and improving both user experience and platform capabilities. As an experienced or regular engineer, you are expected to work … engineering organization and cementing our leadership in the marketplace. YOUR RESPONSIBILITIES Platform Development: Collaborate with cross-functional teams to develop and enhance our treasurymanagement platform, implementing both back-end services and front-end applications using React, TypeScript, C#, and .Net. New Product Development: Focus on designing and More ❯