Are you a business? Hire flow candidates in Wembley
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 ...
Are you a highly motivated and ambitious manager? Are you looking for an employer that will invest in you and develop your career further? Are you looking for a business that is financially stable ...
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 ...
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 ...
Within a week of working here, your day could look like this: maintaining the flow cytometry instruments, providing support and training to flow cytometers' users and performing cell sorts ...
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Monitor developments of flow and risk in the SGX OTC ECN Venue in London and Singapore during LDN and NY Time Zone. * Monitor and ensure efficient flow matching in London and Singapore instances on a ...
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 ...
Promote document flow processes ensuring traceability of documentation * Implement monthly review & quarterly baseline review of package master document registers against the contractual delivery ...
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 ...
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 ...
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 ...
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 ...
Cash Flow Forecasting : Preparing cash flow forecasts by estimating cash flows in collaboration with AR and AP, and communicating with other business units. * Reporting and Period End Accounting
... 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 ...