The ideal candidate will have 6+ years of experience in a relevant role, with direct involvement in fund level cash management, liquidity forecasting, and use of a relevant TMS (preferably Hazeltree
Manage cash flow and optimise payment terms to support financial stability. * Provide insights to improve business systems and processes. Qualifications: * CIMA/ACCA/ACA Qualified or Finalist
Experience managing P&L, cash flow and costs * Creating a work safe culture * Able to manage others to deliver multiple projects at the same time * Good communicator and have experience dealing with ...
Manage Head Contracts ... Changes, applications, entitlements, and cash flow * Identify and mitigate risks, and maximize ...
Manage cash flows, billing, and reporting for client accounts. * Build and maintain long-term client relationships. * Represent the team at client meetings, transaction closings, and corporate ...
SOAS University of London Financial Accounting Manager Salary: £50,999 - £59,809 Permanent ... To monitor the School's cash position and prepare regular cash flow statements * To liaise, as ...
... cash reserves and ensuring alignment with financial forecasts. • Ensure accurate payroll and ... management accounts and comprehensive funder reporting, supporting budget holders and ...
Commercial Manager up to £85,000 Exteriors Sub-Contractor This dynamic and highly successful ... Duties will include estimating, developing and reviewing target costs, forecast and cash flow ...
Commercial Manager - Infrastructure Projects Location: London/ South Are you ready to lead the ... Develop and implement strategies to maximise project revenue, profitability, and cash flow
The core team comprises sales, design, estimating, procurement and project / site management ... health cash plan, 24/7 access to a GP, cycle to work scheme, SMART Pension scheme, employee ...
Securing cash and efficiency savings to improve patient outcomes * Supporting sourcing, procurement, and contract management projects * Tracking savings and quality improvements * Using tools for ...
Monitor and manage project budgets, cash flows, and risks, providing regular updates to management. About You * Background in planning, technical/engineering, development, or consultancy, with 5-7 ...
STP, new functionalities or interface, automation of reports, liquidity & risk metrics, cash flow ... Manage the effectiveness and efficiency of the BACB balance sheet. * Own BACB's funding and ...
... cash and stockloss through adhering to company processes. • Check all the team have all the correct information in their personnel file • Support the Service & People Manager to ensure all hours ...
Propose and monitor products and strategies to ensure maximisation of cash returns and to reduce exposure to risks e.g. fixed deposit placements and FX hedging * Manage administration accesses on ...
... products (cash and derivatives) including the different ways in which market abuse risks can ... management, networking and influencing skills
Leading forecasting, budgeting, and cash flow management processes. Partner with the CFO to enhance FP&A tools, providing real-time insights and empowering data-driven decisions. * Leading the ...
Support the revenue, capital and cash financial planning process * Develop reports for monitoring ... Strong stakeholder management skills * Ability to present financial information to various ...
Supportive colleagues, mentors and managers working collectively in a fun social office environment ... Health Care Plan to support your health and wellbeing, giving you cash back for dental, optical ...
Group life assurance, health cash plan, family-friendly policies We have a brilliant opportunity for a Senior Major Giving Manager working for an amazing humanitarian charity. As part of this ...
Manage CRM program including planning, creating and deploying emails and SMSs to client database ... Achievement of cash sales targets across UK network * New client acquisition targets met
Finance Manager Renowned Leisure / Travel Business £60,000 - £65,000 + up to 25% bonus & great ... Preparation of a detailed 13-week liquidity forecast on a monthly basis for London including cash ...
Wellbeing Days * Healthcare Cash Plan * Subsidised Rail Travel This is a great opportunity to join a leading comms agency. Please apply with your CV and portfolio for consideration!
Cash flow management * Ad hoc reporting * Compliance and Audit Education & Experience: * Part qualified ACCA, or CIMA qualification (or equivalent) preferred. * Experience in a financial management ...