Are you a business? Hire flow candidates in Hounslow
Robert Walters are excited to be partnered with Condé Nast in the search for Working Capital and Free Cash Flow Senior Director 1 year FTC, based in London. JOB DESCRIPTION Condé Nast is a global ...
Our client is looking to recruit a Registered Manager based in their 3/4 bed children's home. The Registered Manager will be part of the registration process and help establish and manage the home
EYFS Teacher - Free Flow / Continuous Provision An "Outstanding" Primary School in the Borough of Brent is eager to find an EYFS Teacher for a September 2024 start. This is a full-time, and permanent ...
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The Gas and Power Flow Trader will play a pivotal role in executing trading strategies, managing positions, and optimizing profitability in the gas and power markets. Key Responsibilities: * Market ...
Cash Flow Administrator We're growing and want you to be a part of our journey. We are seeking a Cash Flow Administrator to support our Accounts, Treasury and Payroll functions. You will be required ...
Data Flow Management: * Design and optimise data flow processes for seamless integration with various systems. * Troubleshoot and resolve issues related to data flow and integration. Stakeholder ...
Working Capital Cash Flow Management: Develop and implement strategies to manage working capital cash flow effectively, minimising risks and maximising returns. * Processing Invoicing: Oversee the ...
Act as a reliable backup for the 13-week cash flow forecasting process, including being a subject matter expert on the forecasting system. * Develop KPIs to monitor the Group's cash flow performance
Develop and maintain accurate cash flow forecasts to support business operations and strategic planning. * Conduct regular reviews and analysis of billing data to identify discrepancies and implement ...
You will find yourself joining a small company of 15, this role will be working on financial modeling, specifically Cash Flow models, including refactoring a cash flow modeling engine that has been ...
Generate quarterly cash flow forecasts for presentation during Executive reviews, providing crucial insights for strategic decision-making. * Develop and execute a 13-week rolling liquidity forecast ...
Actively set and manage balance sheet and cash flow in the business, suggesting actions and financing solutions to the leadership team * At month end, ensure accounts are completed in a timely and ...
Full year forecast both the direct and indirect cash flow by entity. * Long term liquidity management - Budget cash flow to be produced by entity both direct and indirect method. This should be ...
Evaluate prospective client objectives, portfolio holdings, time-horizon, cash flow needs, and financial situation to determine a suitable asset allocation recommendation * Review and formulate plans ...
Financial/cash flow modeling in MS Excel, at un-leveraged, leveraged and post-tax cash-flow levels, including JV and/or promote waterfall mechanisms; * Writing investment memos and recommendations ...
Deployed to projects at various stages to implement processes, aiding information flow to senior team and accounts. * Work flexibly across projects based on company needs. * Collaborate with project ...
From designing cutting-edge solutions to ensuring the seamless flow of materials, your impact will be felt across the entire workshop. If you're passionate about engineering and thrive in a fast ...
Coordinating information flow and knowledge management within the team, supporting the creation of a cohesive communication culture. * Taking overall responsibility for setting up the project ...
... flow, project profitability, credit control and ledgers control, payroll, together with company fleet /insurance/ IT system including: * support the production and project management teams with ...
Assisting in efforts to create a free-flow setting to accommodate the sensory needs of SEN children. * Ensuring the safety and well-being of all children in the setting. Required Skills ...
Cash Flow Management: * Monitor cash flow projections and maintain liquidity to meet operational needs. * Implement effective cash management strategies to optimize working capital and minimize ...
Develop and maintain a professional understanding and close working relationship with appropriate occupier representatives and encourage frequent and open communication and flow of information on ...