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 »
client's needs while adhering to best practices and ensuring scalability, performance, and security.Configure D365 Finance modules, including General Ledger, Accounts Payable, Accounts Receivable, CashManagement, Project Accounting and Budgeting.Candidate Requirements:Proven experience (5+ years) as a Solution Architect or Senior Consultant with hands-on experience in … implementing Microsoft Dynamics 365 Finance solutions.Extensive knowledge of D365 Finance modules, including General Ledger, Accounts Payable, Accounts Receivable, CashManagement, Budgeting, etc.Strong analytical and problem-solving skills with a keen attention to detail.Relevant Microsoft certifications (e.g., MB-300: Microsoft Dynamics 365: Core Finance and Operations) are highly more »
Linton, England, United Kingdom Hybrid / WFH Options
Marshall
Competitive salary, 27 days holiday increasing with service up to 30 days (option to buy/sell), pension contributions up to 9%, healthcare cash plan for you and your family and an extensive flexible benefit program Hybrid working with at least 3 days per week in the Cambridge office … Financial Accounting - Consolidating the Groups financial result, managing the production of the Report and Accounts and provide accounting advice to the Group Treasury and cashmanagement -Managing the Group's Treasury activities, including cashmanagement and FX Pension schemes - Managing the required financial input more »
City of London, London, United Kingdom Hybrid / WFH Options
Kennedy Pearce Consulting
Our Client a leading Insurance business in the City are looking to hire an Assistant Management Accountant on a 18 month fixed term contrac t, covering maternity. Our client offers great benefits and hybrid working (2 days in the office). This role requires a French speaker. As … Assistant Management Accountant … you will be responsible for: Monthly management accounting (Journals, AP, AR) Balance sheet reconciliations Review and approval of payment runs Preparation of Cash flow forecasts and cashmanagement Help with budget processes and conducting financial forecasting Evaluate and improve financial systems and processes Collaborate more »
Chicago, Illinois, United States Hybrid / WFH Options
Nicholas Bernard Ltd
Duration: 6-12 months plus extensions Location: Chicago/Remote The role: Minimum of 5 years of implementation experience in SAP Finance and TreasuryManagement Minimum of 5 years of Treasury experience in the following areas: Bank Account Management (BAM), Bank Communication Management (BAM … Bank Statements Monitor and Reconciliations, CashManagement, FX, Hedging, and Central Payments (PAY). E2E implementation experience in S4/HANA Prior experience in a Consulting/Advisory role If interested please share updated CV in Word format so we can get in touch and arrange interview more »
to join our global service sector client in Glasgow on a remote working basis within the United Kingdom. You will be primarily responsible for cashmanagement and bank administration activities within the wider treasury team as well as supporting specific project based work. Your main responsibilities will … Managing daily cash positioning, payments process and daily investments. Analysing and forecasting cash and liquidity needs Processing multilateral netting via the treasurymanagement systems Coordinating with the offshore team Supporting specific treasury related projects Covering the bank administration tasks and relationships e.g. setting up user access … strong communication skills to collaborate with stakeholders across the business. It is also important to have strong excel skills, as well as experience of cash modelling and reporting. Our client offers UK remote working arrangements, alongside an excellent wider benefits package. This is an ideal opportunity to gain experience more »
London, England, United Kingdom Hybrid / WFH Options
News UK
training effectiveness and gather feedback from participants Documentation: Create training documentation, user guides and reference materials to support ongoing learning and troubleshooting Change Management: Collaborate with the change management team to ensure training aligns with communication and change strategies, helping employees adapt to new processes and … team of trainers and coordinators to execute training initiatives effectively Reporting: Provide regular progress reports, training metrics and insights to project leadership and management What we are looking for from you: Bachelor's degree in Business, Information Technology, Education, or related field. Master's degree is a plus … ideally in large-scale implementation projects Strong understanding of a combination of the following SAP S/4 HANA modules and solutions: Order To Cash, Logistics Execution, Record To Report, Acquire To Retire, CashManagement, Tax, SAP Analytics Cloud Proficient in using SAP Enable Now software more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Karlsruhe, Baden-Württemberg, Germany Hybrid / WFH Options
BASF Services Europe GmbH
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »
Mannheim, Baden-Württemberg, Germany Hybrid / WFH Options
BASF Services Europe GmbH
Along the order-to-cash process, we are passionate about keeping master data up to date along the supply chain, weighing potential credit risks, and thus executing payments on time. We are close to our customers and contribute to BASF's success every day with needs-based and innovative … activities, you are responsible for the daily and monthly liquidity planning and financial forecasts with close interaction with corporate treasury. Additionally, you support the cash disposition and manual cash pooling for the different legal entities of BASF group in EMEA. You are responsible for financing activities for the … FRC activities. completed degree in Finance, Business or Economics or finalized vocational education in those areas professional experience in middle office activities such as cashmanagement, financing and planning tasks, treasury and/or corporate finance knowledge of MS Office and SAP good communication in German and more »