pay a competitive basic salary, bonus, and industry leading benefits. The purpose of the role is to assist with running the day-to-day cashmanagement and foreign exchange activities of the function. You will conduct the execution of all front office processes in a timely and … of all foreign exchange requirements relating to netting, intercompany loans, active hedging, third party exposures, dividends and M&A activities Assist with the monthly cash forecasting process to ensure that every global entity in scope provides timely and accurate data for reporting to senior management Ensure bank … how to execute trades with experienced market professionals Familiar with trade finance instruments such as guarantees and letters of credit Familiar with recognised TreasuryManagement System, ideally IT2 Familiar with online trading platforms Experience with online banking platforms Experience of working in a fast-moving environment with tight more »
Manchester, North West, United Kingdom Hybrid / WFH Options
SF Recruitment (Manchester)
of two staff and ensuring the function runs as effectively and efficiently as possible. This will include managing the banking and counterparty exposures, preparing cash flow forecasts for group liquidity management, improve the cashmanagement systems and processes, assist the Senior Treasury Manager with … the production of the monthly treasury report, as 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 more »
Design Document. Work with the development team in reviewing the Technical Design, validating to ensure the development delivers to the design. Demonstrated project management and presentation skills. Participate in System integration testing and User Acceptance testing with the business users to ensure a high-quality delivery. Research, design … that assist the business in achieving its goals and objectives, leveraging best practices and professional experiences. Provide Cross Functional and Cross Location Project Management Support for Process Improvement Projects. Re-engineer existing business system processes to leverage the capabilities of Fusion Cloud and other signature applications. Develop and … Financials, experience in other areas like SCM a plus. required Strong working knowledge of Finance Modules - Accounts Receivable, Accounts Payable, Fixed Assets, General Ledger, CashManagement, Subledger Accounting, Tax, Customer Data Management and Project Portfolio Management. Strong experience in Fusion Cloud implementations and production support. more »
overall business strategies. * Work with large datasets, utilising statistical methods and machine learning algorithms to extract meaningful insights that inform investment decisions. * Risk Management: * Contribute to a well-rounded approach to managing risks across our diverse alternative investment products, corporate fund finance, and treasury management. * Monitor and assess … years of experience in quantitative analysis, financial modelling, and software development.* Demonstrated experience in developing quantitative models for portfolio optimisation, risk management, and performance attribution.3. Financial Expertise:* Passed CFA … Level - 1.* Strong understanding of financial markets, investment products, and risk management concepts.* Experience in working with financial data, analysing balance sheets, cash flows, and financial statements. more »
SALARY 30-42K The Company Our client is a large entrepreneurial Investment Management firm with exciting growth prospects The Role The Transitions Administrator will be responsible for processing new Transfer instructions and chasing cases with counterparties to ensure Transfers complete in a timely manner. The Transitions Administrator … Altus. The Transitions Administrator will be responsible for receiving Transfer cheques in to the business , cross checking information, updating the system and passing to cashmanagement 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 »
Management Accountant North Derbyshire Manufacturing & Technology Sector £40,000 - £45,000 Benefits Eaton Syalon, on behalf of a prominent manufacturing business in North Derbyshire, is seeking a dedicated and detail-oriented Management Accountant. Reporting to the Financial Controller, this pivotal role is crucial in delivering accurate … This hands-on position offers significant opportunities for personal and professional development within a dynamic finance team. Key Responsibilities: Financial Reporting: Produce monthly management accounts for key business units, adhering to reporting timetables. Reconciliations & Compliance: Prepare and submit VAT returns for UK and ROI entities, manage Intrastat returns … budget holders and review P&Ls for overhead costs. Forecasting & Budgeting: Assist with budgeting, interim forecasting, and variance analysis for all overhead cost areas. CashManagement: Ensure effective cashmanagement, including bank payments, reconciliations, and cash flow forecasting. Process Improvement: Identify and implement more »
the daily operations of the Treasury function, ensuring smooth and efficient financial operations. Strategic Support: Provide strategic support to enhance financial practices and policies. Cash Flow Management: Manage corporate cash flow and handle foreign currency transactions with precision and strategic foresight. Global Banking Relationships : Maintain and … develop relationships with global banking partners, ensuring compliance and optimal terms. Project Leadership: Lead projects on cash pooling and other treasury initiatives, aimed at improving global cash management. About You You are a seasoned treasury professional, equipped with a relevant accounting or treasury qualification and substantial experience in … a global corporate environment. Your expertise spans foreign currency management, cash pooling, and cash flow forecasting. With strong analytical skills and a strategic mindset, you are adept at driving process improvements and maintaining strict security controls. Effective communication and the ability to collaborate across departments make more »
five people. The team covers the front to back trade flow for the firm (from trade capture, through trade reconciliation to all trade management functions e.g.: trade events settlement corporate actions compression collateral and treasury). The products traded include the following: bonds CFDs credit derivatives equities equity … to reduce counterparty margin exposure and allow efficient rolls process Implementation of upcoming corporate actions including trade bookings and where necessary counterparty dispute resolutions Cashmanagement reconciliation between cash/custody accounts and administrator Treasury and collateral management Ensuring that the business is properly more »
niche area Introduce reporting and analysis to compliment lead generation by product and channel, with costing around new business acquisitions Further design and develop Cash Flow forecasts, understanding the working cashmanagement position Support the CFO regarding commercial and strategic direction, ensuring reporting reflects key objectives … allocation Work collaboratively across the business applying rigorous and challenging business and strategic thinking Take the lead in driving robust processes around cost control, cash flow projections, and broader balance sheet management to maximize profit and cash generation opportunities Work closely with the Group Controller to more »
day accounting tasks for the practice this includes (but not limited to) to billing, sales ledger and credit control, purchase ledger and invoice processing cashmanagement, communication, and general accounting duties. This hybrid role offers the opportunity to work both in the office and remotely. Qualifications Strong … Sales and Purchase ledger experience Finance and Accounting knowledge Strong communication skills Attention to detail and accuracy Organizational and time management abilities Proficiency in accounting software and MS Office AAT qualification or equivalent Prior experience in a similar role more »
German is required The Role: Manage the company's financial assets and ensure they are optimized to achieve maximum returns. Oversee the company's cashmanagement processes, including forecasting, budgeting, and daily cash flow management. You will also manage relationships with financial institutions, negotiate banking fees … and provide financial analysis and reporting to the executive team to monitor financial risk. Responsibilities: Develop and implement cashmanagement policies and procedures to ensure the efficient use of company funds. Forecast, budget, and analyze cash flow to identify potential liquidity issues and opportunities for investment. … Develop and maintain relationships with banks and financial institutions to optimize cashmanagement strategies. Negotiate banking fees and manage relationships with banking partners. Develop and maintain financial models to evaluate investment opportunities. Provide financial analysis and reporting to the executive team. Manage the company's investment portfolio more »
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. TreasuryManagement: 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 »
/treasury specialist to join them as a Head of Liquidity Management. You will be responsible for overseeing and validating the operational aspects of cashmanagement and managing the FX hedging program and relationships with FX counterparties. This role will have management responsibility for junior … liquidity management specialists. Responsibilities: CashManagement/Forecasting: Prepare daily cash reports detailing forecast cash levels across all fund strategies. Collaborate closely with Fund Finance and Investor Relations to ensure accurate and timely updates of upcoming flows. Support the Investment teams by addressing … queries related to fund cash levels and providing continuous analysis of fund liquidity. Assist in the development, implementation, and maintenance of cash forecasting models to optimize cash utilisation. Supervise the cash reconciliation process to ensure alignment between accounting cash levels and custodian balances. Manage two more »
Birmingham, West Midlands, West Midlands (County), United Kingdom
Akkodis
system as a Functional Specialist. Key Responsibilities: Implementation and Configuration: Lead the implementation and configuration of the core Oracle Fusion Finance modules. Project Management: Manage and coordinate finance-related projects, ensuring they are completed on time, within scope, and within budget. Documentation: Create and maintain detailed documentation, including … document design decisions, and support business impact assessments. What You Will Bring: In-depth knowledge of Oracle Fusion Finance modules (GL, AP, AR, FA, CashManagement) and best practices. Proven experience in implementing and supporting Oracle Fusion Finance solutions. Strong analytical and problem-solving skills, with the more »
with relevant departments and your existing portfolio clients to increase size of deals and explore cross-selling opportunities, such as loans, deposits, trade finance, cashmanagement, FX, bond issuance, RMB business, etc.. Actively look for new clients to expand asset size. Provide and promote high quality corporate … and services to your clients. Update and maintain accurate client/credit files. Carry out Pre-loan investigations, credit procedures and after-loan management, the implementation of the trade financing business review and self-examination. Carry out corporate KYC and AML related work. Update and maintain accurate client more »
lifecycle and to work closely with the Investment & Trading desks of a top-performing asset manager. Your attention to detail is crucial for reconciliation, cash flow, and cashmanagement reporting and processing. Strong communication and influencing skills are also required to build relationships with the Front … It offers a chance to interact with the front office and gain valuable experience across middle office operations at a well-regarded asset management firm. To be considered, candidates must have a degree and a minimum of 12 months’ experience in trade settlements gained from a financial services more »
globally. The EMEA Treasury team is responsible for overseeing Treasury activities for our regulated entities in the region. This includes liquidity and capital management, investment management, regulatory ratio management, and overseeing compliance with entity policies and procedures. PayPal Treasury is seeking … a driven and analytical Treasury Manager with relevant experience to join our EMEA Treasury team. In this role, you will establish world class Treasurymanagement standards, and drive processes that enable PayPal to scale with its rapid growth while ensuring robust controls. You will partner with multiple teams … within and outside Treasury and have broad exposure to all core Treasury activities, while working with management across the regions, and have a particular focus on PayPal UK. Job Description: Your way to impact You will be responsible for PayPal UK Treasury coverage, effectively managing financial resources, and more »
Financials, experience in other areas like SCM a plus. Required Strong working knowledge of Finance Modules - Accounts Receivable, Accounts Payable, Fixed Assets, General Ledger, CashManagement, Subledger Accounting, Tax, Customer Data Management and Project Portfolio Management. Strong experience in Fusion Cloud implementations and production support. … Functional Design Document. Work with the development team in reviewing Technical Design, validating to ensure the development delivers to the design. Demonstrated project management and presentation skills. Participate in System integration testing and User Acceptance testing with the business users to ensure a high-quality delivery. Research, design more »
Design Document. Work with the development team in reviewing the Technical Design, validating to ensure the development delivers to the design. Demonstrated project management and presentation skills. Participate in System integration testing and User Acceptance testing with the business users to ensure a high-quality delivery. Research, design … that assist the business in achieving its goals and objectives, leveraging best practices and professional experiences. Provide Cross Functional and Cross Location Project Management Support for Process Improvement Projects. Re-engineer existing business system processes to leverage the capabilities of Fusion Cloud and other signature applications. Develop and … Financials, experience in other areas like SCM a plus. required Strong working knowledge of Finance Modules - Accounts Receivable, Accounts Payable, Fixed Assets, General Ledger, CashManagement, Subledger Accounting, Tax, Customer Data Management and Project Portfolio Management. Strong experience in Fusion Cloud implementations and production support. more »
the Group Finance Director. This role requires substantial experience of implementing treasury related systems, processes and organisations, as well as a exceptional understanding of cashmanagement, financial markets, liquidity management, risk management, and compliance with regulatory requirements. The incumbent will play a critical … Operations: Lead treasury operations team and ensure smooth execution of daily treasury activities, including payments, and cash reconciliations. Maintain banking platforms and treasurymanagement systems (Kyriba, etc.) to support efficient treasury operations. Develop and implement policies and procedures to enhance controls and mitigate operational risks. Review and … Attention to detail and a commitment to maintaining high standards of accuracy and integrity. Proficiency in Microsoft Excel, wide range of experience in treasurymanagement systems and banking platforms, Kyriba highly advantageous. As an ever-friendly reminder : Researchers have found that men apply to roles when they meet more »
experience to join their highly regarded 2nd line team in London A great opportunity for an experienced senior Treasury Analyst specialising in cashmanagement, cash forecasting, bank and bank account management to work at a fast paced, rapidly growing, increasingly complex financial … company with a sophisticated treasury function. The role will be a hands-on daily execution role. The role will be responsible for performing daily cash forecasting, daily tracking of actuals, monthly reporting against budget, daily approving payments, daily moving cash between entities as needed, reporting to ALCO, executing … daily cash investments, updating the liquidity documents, being an SME on the cash, working with the product control team and Head of Treasury Operations. One the UK s leading matched building societies have mandated us exclusively to run the search for a new senior hire to own the more »
experience to join their highly regarded 2nd line team in London A great opportunity for an experienced senior Treasury Analyst specialising in cashmanagement, cash forecasting, bank and bank account management to work at a fast paced, rapidly growing, increasingly complex financial … company with a sophisticated treasury function. The role will be a hands-on daily execution role. The role will be responsible for performing daily cash forecasting, daily tracking of actuals, monthly reporting against budget, daily approving payments, daily moving cash between entities as needed, reporting to ALCO, executing … daily cash investments, updating the liquidity documents, being an SME on the cash, working with the product control team and Head of Treasury Operations. One the UK s leading matched building societies have mandated us exclusively to run the search for a new senior hire to own the more »
understanding of finance and accounting principles, processes, and best practices. This includes expertise in areas such as general ledger, accounts payable/receivable, budgeting, cashmanagement, and financial reporting. Supply Chain Management Knowledge: Solid understanding of supply chain management concepts and processes, including … procurement, inventory management, logistics, and demand planning. The ability to align supply chain operations with the Dynamics 365 Finance and Operations system is crucial. Configuration and Customization: Proficiency in configuring and customizing Dynamics 365 Finance and Operations to meet client-specific requirements. This includes the ability to design … implementation support. This includes the ability to troubleshoot technical and functional problems, conduct root cause analysis, and propose effective solutions. Communication and Stakeholder Management: Strong communication and stakeholder management skills to effectively collaborate with clients, project managers, developers, and end-users. The ability to understand and more »
as we scale towards IPO. Your primary objective will be to enhance and continually evolve our processes and technology stack in order to optimise cash flow, mitigate financial risk and ensure full compliance with regulatory requirements. You will also be responsible for preparing and presenting solid financial data to … field; MBA or CFA designation preferred. Strong experience in Structured Finance, knowledge of Securitisation is a must for this position. Proven experience in treasurymanagement and managing successful high performing teams. Strong understanding of financial markets, banking products, and treasury best practices; experience with cross-border trade would … interact effectively with stakeholders at all levels. Demonstrated leadership abilities with a track record of building and managing high-performing teams. Proficiency in treasurymanagement systems, financial modelling, and Microsoft Office suite. We appreciate the support recruitment agencies can provide, however our in-house team do not require more »
of the UK s leading challenger banks have mandated us exclusively to find them someone to provide interim leadership to the Balance Sheet Management team for at least 12 months. This person will be responsible for the bank s front office execution including booking derivatives recommended by the … leadership to the ALM team (6 people) and therefore will be required to have a good understanding of liquidity and interest rate risk management concepts and techniques Along with the Director of Treasury, managing the bank s interest rate risk exposure through the use of derivatives, typically interest … Balance Sheet Management team. The Treasury Analyst will support all aspects of treasury operational activities. This includes assisting with the development of cashmanagement banking solutions for all business segments of the company and actively managing the liquidity and cash forecasting reporting consolidation process. more »