Cash Management Jobs in London

1 to 25 of 46 Cash Management Jobs in London

Oracle Cloud Finance Consultant

London, England, United Kingdom
(8660) IBM United Kingdom Limited
the fast-paced environment Required Technical and Professional Expertise Keys Skills: General Ledger (GL), Fixed Assets (FA), Accounts Payable (AP), Accounts Receivable (AR) and Cash Management (CM) Required Skills Design comprehensive software solutions to connect a variety of internal and external systems, ensuring seamless data flow Collaborate … with stakeholders to understand their needs and translate them into functional and technical designs Develop finance solutions for Financials Record to Report, Order to Cash, Capital and Accounts Payable Manage and deploy configuration to various environments (development, testing, production) Create and execute thorough test plans to verify functionality based more »
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Oracle Cloud Finance Consultant

London, England, United Kingdom
IBM
the fast-paced environment Required Technical and Professional Expertise Keys Skills: General Ledger (GL), Fixed Assets (FA), Accounts Payable (AP), Accounts Receivable (AR) and Cash Management (CM) Required Skills Design comprehensive software solutions to connect a variety of internal and external systems, ensuring seamless data flow Collaborate … with stakeholders to understand their needs and translate them into functional and technical designs Develop finance solutions for Financials Record to Report, Order to Cash, Capital and Accounts Payable Manage and deploy configuration to various environments (development, testing, production) Create and execute thorough test plans to verify functionality based more »
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Systems Accountant Contract

London Area, United Kingdom
Edward Mann
IR35 with a budget of 400-500 per day dependent on experience. Daily responsibilities Manage full delivery of the implementation and assessment of new cash management system Be key delivery manager for plan of completion and 'roadmap' of new system bolt-ons Be key POC with external more »
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Hedge Fund - Operations

Greater London, England, United Kingdom
Ironshield Capital Management LLP
support, treasury, fund accounting through to investor relations support. An ideal candidate will have experience of maintaining the fund's books and records, managing cash flows, audit, tax, regulatory reporting and reviewing NAV calculations. Qualifications/Requirements : Bachelor's degree or equivalent in Accounting, Finance or related field Proficiency … team and where needed traders, brokers, and custodians to ensure accurate and timely settlement of trades. Monitor and resolve any trade-related issues. Treasury Management: Manage daily cash positions, monitor liquidity, and execute fund-related transactions. Optimize cash flow and ensure compliance with treasury policies. Reconcile … all portfolio and cash activity to source data. Operations: Work closely with the operations team to streamline processes, enhance operational efficiency, and ensure proper controls are in place. Net Asset Value (NAV) Calculation: Perform daily, monthly, and quarterly NAV calculations for assigned hedge funds, ensuring precision and compliance with more »
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Finance Operations Manager

London, United Kingdom
Boston Consulting Group
A-B Accounting and Operations team and reports directly to the Senior Finance Manager. The primary responsibility will be the day-to-day management of Finance Operations in L-A-B system (London - Amsterdam - Brussels) which includes Source to Pay (S2P), Travel and Expenses (T&E), Corporate card … senior advisor regional team, the induction of senior advisors, escalation, maintenance of relevant policies and information deck and approval of senior advisor invoices. Management of the American Express corporate card's programmes i.e. the corporate travel account, corporate cards and Vpayment cards via Coupa. This includes acting as … oversight). Ensures the key controls within the operation processes are efficient and fit for purpose in compliance with BCG finance minimum standards and cash management policies. Enhance internal controls, continuously seeking to reengineer local operation process to obtain efficiencies, manage risk, reduce costs and leading improvements more »
Employment Type: Permanent
Salary: GBP Annual
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Financial Accounting Manager

London, United Kingdom
Boston Consulting Group
Director Build skills in new reporting tools (Tableau, PowerPoint etc.) to reimagine the reporting; making it more intuitive and insightful to all users Treasury management of the short and long term cash position of the UK entities Oversee the maintenance of the monthly cash forecasts Prepare … project specific cash flow analysis Responsible for implementing, maintaining, and updating the cash manual policy annually Oversee the inter-company settlement process Drive performance management in financial risk areas through identification and mitigation of risks Embed risk management into the financial accounting team ensuring … years post qualification experience Strong technical knowledge of UK GAAP, local taxes and statutory requirements Familiarity with US GAAP, IFRS, tax compliance and treasury management Good understanding of accounting for Limited Liability Partnerships (LLPs) and SORP for LLPs Professional services experience Experience across finance functions will be beneficial more »
Employment Type: Permanent
Salary: GBP Annual
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Senior Accounts Analyst

London
BCT Resourcing
empowerment , support and putting people first. The role of Senior Accounts Analyst will sit in the finance function providing support on day to day cash management activities , including bank reconciliation and cash activity analysis. You will be responsible for moth and quarter end tasks ensuring execution … is in line with agreed deadlines and control framework supporting cash flow reporting. To be successful for this role we are looking for: * Experience in the Financial Services industry, preferably in the Insurance Market. * A high level of proficiency in Microsoft Office products and ideally a good working knowledge more »
Employment Type: Permanent
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Portfolio Construction

London Area, United Kingdom
The FISER Group
including managing hedging requirements on the hedged share class range. Non-base currency balances and raise spot FXs to fund/repatriate non-base cash flows. Cash Management: Excess cash into Money Markets UCITS with same-day settlement according to defined targets/ratios. Feeder … fund cash levels and ensure full investment into its master fund. Futures Implementation: Roll open futures positions to the next contract for delegated portfolios. Role Profile: Emotional intelligence, rational decision-making, problem-solving, and conflict resolution skills. Knowledge of financial instruments including forex, mutual funds/UCITS, and exchange … ability to manage large volumes of numbers. Able to contribute to cross-functional projects. Essential Qualifications & Experience: Asset management experience, preferably in cash and FX management with Portfolio Management Systems (e.g., BRS Aladdin) To work flexibly to ensure extended coverage (up to more »
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Reporter - Head of Transaction Banking

London Area, United Kingdom
Delinian
Head of Transaction Banking London, UK Hybrid This position requires deep knowledge of global transaction banking - including Cash Management, Payments, Trade Finance, Treasury and Securities Services. What will you do? As the Head of Transaction Banking you will lead Euromoney’s benchmarking & coverage of global transaction banking … including trade finance, cash management, treasury & securities services & payment solutions. You will be responsible for measuring & reporting on, the performance of the key market players within this industry. Providing readers with the most engaging and accurate industry analysis. Also highlighting the latest trends & best practices. You will … the reputation of Euromoney, overseeing the highest levels of editorial excellence and integrity Knowledge, Experience and Skills Deep knowledge of global transaction banking - including Cash Management, Payments, Trade Finance, Treasury and Securities Services 10+ years' experience in financial journalism (or as a bank analyst, ex-banker or more »
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Head of Treasury & Liquidity

London Area, United Kingdom
Market Talent Ltd
support strategic objectives, including optimizing liquidity, cash flow, and capital structure, mitigating financial risks, and fostering strong banking relationships. Key Responsibilities: Strategic Treasury Management: Develop and execute treasury strategies aligned with financial objectives. Cash Management: Oversee daily cash operations, including forecasting and liquidity … management. Capital Management: Manage capital structure and optimization strategies to support growth. Risk Management: Identify, assess, and mitigate financial risks through hedging strategies. Investment Management: Optimize investment portfolio returns while maintaining liquidity and risk tolerance. Banking Relationships: Manage relationships with banks to optimize terms … fostering talent development and succession planning. Stakeholder Communication: Communicate treasury strategies and performance to senior management and stakeholders. Key Performance Indicators (KPIs): - Cash Flow Forecast Accuracy: 100% - Liquidity Ratio: - Return on Investment (ROI) on Treasury Investments - Risk-adjusted Return on Capital (RAROC) - Bank Relationship Satisfaction Score Knowledge more »
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Transitions Administrator , Asset Transfers , Investment Management , 9 month FTC

London Area, United Kingdom
JJ SEARCH LIMITED
SALARY 30-35K The Company Our client is a large entrepreneurial Investment Management firm with exciting growth prospects The Role THIS ROLE IS A 9 MONTH FTC ROLE The Transitions Administrator will be responsible for processing new Transfer instructions and chasing cases with counterparties to ensure Transfers … Altus. The Transitions Administrator will be responsible for receiving Transfer cheques in to the business , cross checking information, updating the system and passing to cash management team for processing. The Transitions Administrator will maintain relationships with third party administrators, Fund Managers and custodian, and attend and represent … exposure to Asset Transfers/Transitions within Asset Management or Investment Management, ideally including unit trust, CREST, foreign, certificated and cash movements. Knowledge of tax wrapper structures including ISA, SIPP, Offshore Bond. Ideally studying towards the IOC certificate or already qualified. more »
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Senior Treasury FX/ MM Dealer, Investment Management

London Area, United Kingdom
The FISER Group
Senior Treasury Dealer – FX/MM, Investment Management London, 5 days in the office Introduction: The Treasury team is essential in protecting cash reserves and maintaining liquidity for investment activities. Operating as a tight-knit unit, this team is crucial to achieving financial goals. The chosen candidate … will play a key role in effective cash management and Foreign Exchange services. This position offers the opportunity for career growth in Treasury, including the possibility of pursuing a Treasury qualification. Key Responsibilities: - Coordinate with Operations to confirm currency balances before investments. - Manage day-to-day Money … Market and Foreign Exchange activities in line with guidelines. - Execute Treasury instruments, ensuring compliance with established guidelines. - Ensure timely funding and execution of all cash movements and payments. - Maintain liquidity in required currencies and manage currency exchange risks effectively. - Optimize excess liquidity by placing it advantageously in money markets. more »
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Associate Tech Lead, Global Finance Modernization Integrations

London, England, United Kingdom
McDonald's
including Supply Chain, People, and Finance. We are embarking on a significant Finance Transformation journey, using, Oracle Cloud Financials and Oracle Enterprise Performance Management Cloud, along with Oracle Integration Cloud for flawless integration. We are seeking a dynamic Global Finance Modernization Integrations Associate to guide in Enterprise level … organizations having complex data & application landscapes ranging from modern to legacy footprint Exposure & understanding of Oracle ERP Cloud Finance modules – Payables, Receivables, General ledger, Cash Management, Assets, Projects etc. Experience in IBM IWA, GitHub, FlexDeploy would be beneficial Additional Information McDonald’s is an equal opportunity employer more »
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Associate Tech Lead, Global Finance Modernization Integrations

london, south east england, United Kingdom
McDonald's
including Supply Chain, People, and Finance. We are embarking on a significant Finance Transformation journey, using, Oracle Cloud Financials and Oracle Enterprise Performance Management Cloud, along with Oracle Integration Cloud for flawless integration. We are seeking a dynamic Global Finance Modernization Integrations Associate to guide in Enterprise level … organizations having complex data & application landscapes ranging from modern to legacy footprint Exposure & understanding of Oracle ERP Cloud Finance modules – Payables, Receivables, General ledger, Cash Management, Assets, Projects etc. Experience in IBM IWA, GitHub, FlexDeploy would be beneficial Additional Information McDonald’s is an equal opportunity employer more »
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Senior Product Owner

London Area, United Kingdom
Hybrid / WFH Options
Chapman Tate Associates
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. • Cash Management & Reconciliations. • Corporate Actions. • Dividends. • Stock Transfers. • Finance/Accounting. • Client Reporting. • Service Fees. • UK Regulatory Reporting. • UK Tax Reporting. Please apply more »
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Senior Accountant - International SaaS - Series B scaleup

London Area, United Kingdom
TalentEdge
the finance team, reporting directly to the Finance Director. You will oversee all aspects of financial management, including financial reporting, treasury, and cash flow management. This role offers an exciting opportunity for a qualified ACA professional with in-house experience to contribute to their continued growth and … Support compliance tax process for UK and international entities. Manage audit process. Optimise cash flor management, implementing and maintaining strong treasury management systems. Prepare statutory returns. Manage a strong internal control framework. Utilise Xero to streamline and automate processes. Qualifications and Skills: Fully qualified with … across teams and influence stakeholders. Proven ability to work independently, prioritise tasks, and meet deadlines in a fast-paced environment. Proficiency in financial management software and Microsoft Excel more »
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Finance Manager | High Growth SaaS Start-up | London / Hybrid

London Area, United Kingdom
Hybrid / WFH Options
Harmonic Finance™ | Certified B Corp
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 treasury management practices to optimize cash flow and mitigate risks. Prepare and submit statutory returns to Companies House and relevant US regulatory bodies. Maintain more »
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Group Financial Controller – Software

London Area, United Kingdom
Hybrid / WFH Options
Altus Partners
the financial reporting process Oversight of the day-to-day running of the operational Finance team Leading the annual audit process Oversight of Treasury, cash management Co-manage a number of key external stakeholder relationships (banks/audit) Oversee regulatory reporting, including tax planning and compliance across more »
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Operations Assistant-non/Proportional & Lloyds

Greater London, England, United Kingdom
Bunn Abbott Consulting
responsibilities: • Performing day-to-day responsibilities which may include: processing premium, premium adjustments, commissions and claim payments in their accounting systems based on portfolio, Cash Management, Submission, Exports and Underwriting Support. • Supporting development, implementation and documentation of processes and controls for efficient handling of portfolio of responsibilities. more »
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FP&A - Treasury Manager

Greater London, England, United Kingdom
AtlasEdge
allocating funds on a daily basis. You will also support and simplify processes and work towards automating where relevant treasury processes. Key Activities Daily cash reporting including commentary and actions Prepare Cash Flow forecast (13 week outlook and multi month forward looking forecast) Take a business partnering approach … ensuring constant communication with key business teams to understand upcoming short term cash requirements and longer-term liquidity Maintaining Group cash position and managing funding requirements across the group Bank account maintenance Business partnering with Shared Service Centre and Finance teams for Month End Help manage banking relationships … Minimum 4 years of relevant work experience (Investment Banking, Private Equity, Accountancy Firm or High Yield Corporate). Skills & Abilities: Proven experience in treasury management, preferably in a complex group function. Excellent analytical skills and problem solving skills. Excellent communication (verbal and written) Extensive knowledge of Excel and more »
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Senior Sap Finance Control Consultant

London Area, United Kingdom
HCLTech
under tight time pressures - planning, prioritizing and controlling own workload. · Demonstrates excellent communication skills both verbally and in writing. · Precise approach to project management and procedures. · Ability to assert own ideas to business and within business senior management. · Is able to give strong coaching and feedback where needed … technology to meet the opportunities of continuous and predictive accounting. · Key experience areas of Shared Service Centre design, central finance systems, Receivables & Collections processes, cash, bank and treasury management. · Strong industry background using providing finance solutions · Extensive experience of SAP Finance - with 6 project lifecycles. · S/4 implementation more »
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Senior Sap Finance Control Consultant

london, south east england, United Kingdom
HCLTech
under tight time pressures - planning, prioritizing and controlling own workload. · Demonstrates excellent communication skills both verbally and in writing. · Precise approach to project management and procedures. · Ability to assert own ideas to business and within business senior management. · Is able to give strong coaching and feedback where needed … technology to meet the opportunities of continuous and predictive accounting. · Key experience areas of Shared Service Centre design, central finance systems, Receivables & Collections processes, cash, bank and treasury management. · Strong industry background using providing finance solutions · Extensive experience of SAP Finance - with 6 project lifecycles. · S/4 implementation more »
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Junior Operations Specialist

London, England, United Kingdom
Ballinger Group
Ballinger & Co. is an independent provider of foreign exchange risk management and trading services to financial institutions and corporate clients with large and complex FX requirements. We are a fast growing, well funded business run by a a team of FX specialists who previously built and sold the … as required Communicating with clients when the clarification of beneficiary instructions, or FX trades is required Reconciliation of bank accounts against our internal treasury management system Liaising with our Risk Team to ensure our exposure is covered and margin calls are met Playing a key role in a more »
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Junior Operations Specialist

london, south east england, United Kingdom
Ballinger Group
Ballinger & Co. is an independent provider of foreign exchange risk management and trading services to financial institutions and corporate clients with large and complex FX requirements. We are a fast growing, well funded business run by a a team of FX specialists who previously built and sold the … as required Communicating with clients when the clarification of beneficiary instructions, or FX trades is required Reconciliation of bank accounts against our internal treasury management system Liaising with our Risk Team to ensure our exposure is covered and margin calls are met Playing a key role in a more »
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Workday Financials Manager

London Area, United Kingdom
KPMG UK
KPMG are growing their Powered Connected Technology team to meet an ever-increasing demand for our market leading services and are seeking technology management consultants with relevant expertise and experience. The Person • Recognises the importance of continuous self and team development and actively strives to achieve this. • Helps … business process across Finance and Procurement. • A background in designing and delivering end-to-end business processes across multiple functional areas including Invoice to Cash (Receivables, Collection and Cash Management), Record to Report (General Ledger including Intercompany), Procure to Pay (Sourcing, Procurement, Payables and Payments), Acquire … to Retire (Fixed Assets), Project to Result (Project Management and Project Accounting – Costing and Billing), within Workday Finance. • Broad knowledge of other Workday product sets like HR and Payroll solutions • An understanding of the functional, application and technical architectural elements of an Workday Finance programme. • Experience of operating more »
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Cash Management
London
10th Percentile
£73,750
25th Percentile
£80,000
Median
£105,000
75th Percentile
£120,000
90th Percentile
£140,000