THE COMPANY: Our client is a well regarded corporate bank offering a variety of deposit and lending products, as well as treasury and foreignexchange services. THE RESPONSIBILITIES: Assist in maintaining and promoting a compliance culture appropriate to meet regulatory requirements and in line with industry best practices. more »
Greater London, England, United Kingdom Hybrid / WFH Options
FinTop Consulting
Postion: Quant Developer Location: London (Hybrid) Industry: Leading FX/CFD Broker Responsibilities: ▶️ Designed, developed, supported, and maintained trading systems, tools, and infrastructure. ▶️ Improved performance and scalability of trading and research systems to drive growth and alpha. ▶️ Collaborate with traders, quants, risk, and engineering teams. ▶️ Stay current on industry trends more »
knowledge of transaction banking products and related services (cash management products e.g. digital channels/payments/collections/liquidity management/deposits/FX related business) Excellent communication skills both written and oral Good Excel & PowerPoint skills Fluency in Mandarin is ESSENTIAL more »
the go-to person for pre-confirming and settling equities in US, Canadian and Mexican markets. You will also be responsible for CFD and FX trades whilst supporting the wider operations team in London. This is an opportunity to use your post-trade equity experience in an environment that will more »
person should already be approved by the FCA and have been in Senior Management Functions. Duties & Responsibilities: Overseeing the trade execution process for equities, FX and derivatives Compliance function with the support of external consultants Coordination with third parties providing outsourced functions (IT, cyber-security, accounting, website, distribution among others more »
by providing day-to-day Compliance support, guidance and advice, while performing key Compliance projects, monitoring and assessment responsibilities. ETD core business activities include FX, Loans and Derivatives sales and trading, and asset/liability management for the bank In performing this role: You will identify, understand and help implement more »
client *Please note this will require 3 days onsite weekly* Required: . Strong understanding of business processes in Treasury domain including In-House Banking, FX Hedging and Intercompany Netting ideally in a Life Sciences environment . In depth knowledge of SAP S/4 landscape and associated BTP (Business Tech more »
Role: Candidate will help with the system-wide design and build out of a quantitative futures and FX portfolio focused on high and mid-frequency signals and strategies. An ideal candidate would possess a passion for technology, creativity, a desire to take ownership of their work, and the ability to more »
Quantitative Finance, or a related technical field. Experience writing code to analyse large sets of data. Previous experience electronic trading specifically within Crypto/FX/Futures Strong software development skills, particularly in Python and C++ Familiarity with all aspects of the cryptocurrency markets and blockchain technology. This is a more »
through third-line internal audit ● Balance sheet, cash and liquidity management (including intra-day liquidity)functions ● Asset & liability management; interest rate risk management and FX management ● Funds Transfer Pricing; sources and uses analysis ● Developing and/or implementing liquidity and treasury risk management pol cies, procedures and strategies to manage more »
Hemel Hempstead, Hertfordshire, United Kingdom Hybrid / WFH Options
LHH Recruitment
Produce board papers regarding 3 year plan. Risk Management - P&L impact Treasury are responsible for are the financial costs/income. This includes FX movement, interest costs/income and PCGs. Monthly forecast needs to be produced and reviewed. Maintain banking relationships with UK Area banks. Ad hoc projects more »
transformation agenda. The Role SAP S/HANA finance knowledge Experience with configuration and implementation of Contract and Release Management (CLM) module of RE-FX Experience with configuration and implementation of Purchase Integration add-on to CLM Experience with Pharmaceutical Industry and CSV Experience with Leasing business processes, primarily around more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
procurement contacts at the client, Provide a single point of finance connectivity both internally and externally surrounding the client’s business for Publicis Manage FX and tax implications of cross boarder invoicing, seeking support from Publicis Groupe treasury & tax departments as is required Liaise on client finance matters with Groupe more »
Senior Application Support Analyst - is required for a major international banking group supporting Front to Back Office within Capital Markets and Foreign Exchange. This will be a permanent position paying up to £80,000 per annum The business is currently undergoing a strategic transformation in the London office creating … hub within the Bank. You will be joining as part of the first generation of strategic hires to assist in managing the business-critical FX applications, FX Cash as well as FX options and eFX for EMEA. The Role: You should come from a career background in supporting Capital Markets … should cover Scripting within SQL and Unix as well as supporting applications with Jira and Service Now. Skills: Extensive experience supporting Capital Markets and FX trading technology Knowledge working with Murex or WSS FX. Scripting in SQL and on Unix Systems Knowledgeable across the FX stream of Capital markets end more »
and enterprise accounts. Ability to drive operational excellence through innovative initiatives. Strong collection and payment knowledge across various payment rails like domestic, cross-border, FX and value-added services in various segments like e-Commerce, B2B, platforms QUALIFICATIONS Educated with a relevant degree in business, project management, or a related … field. A master's degree is a plus. DESIRED TRAITS Customer-centric, analytical, detail-oriented, and have an understanding of the UK and EU foreignexchange landscape for corporate clients. Analytical mindset with the ability to use data-driven insights to make informed decisions. Ability to work well more »
Your own unique style or way of working, which will make our team diverse and original. Why Travelex? To remain the world’s leading foreignexchange specialist, we are focused on making our customers’ lives simpler, more engaging and hassle free while they travel or move money abroad. … digital-first, greenfield products and services. And with the Travelex's resources, deep industry experience and leading brand we are inventing the future of FX, cross-border e-commerce and international payments. We are an equal opportunity employer and value diversity at our company. We do not discriminate on the more »
using cutting-edge tools. Calculate Net Asset Value (NAV) on a daily, weekly, and monthly basis. Reconcile final fund NAVs with fund administrators. Monitor foreignexchange exposures and advise on currency hedging. Review and reconcile records with custodians and prime brokers. Provide ad-hoc reports and analysis to more »
A prominent Payments and FX firm located in London's vibrant West End is currently in search of a Reconciliation Analyst to join our team on a permanent basis. The ideal candidate must possess a thorough understanding of traditional asset class trade lifecycles and reconciliation processes. Position: Reconciliation Analyst Location more »
Investment Bank - London/Hybrid - Comp in Excess of £130,000 One of the top-performing investment banks within the Fixed Income and FX markets is looking for an expert in Rates/Credit eTrading production support to lead a global team of technologists. You'll be working closely with more »
DCF analysis and generating comprehensive reports. Maintaining and updating the company's business model in Excel. Analyzing and reporting on investment portfolio performance. Managing FX hedging to mitigate currency risks. Leading due diligence, risk assessment, and financial analysis for asset acquisitions. Guiding internal approvals for transactions. Providing leadership in bidding more »
background working with Power Platform solutions , and capable of working individually or within a team. Knowledge of Power Platform methodologies in support to: Power FX, Environment Management, Custom Connectors, Solution Management, DLP policies and Power Platform Admin Centre. PowerShell configuration and administration experience. Knowledge of using Agile Methodologies . Are more »