Senior Flow Assurance Engineer Initial 12 Month contract Leatherhead, Surrey - 3 days per week in the office, 2 days per week working from home Outside IR35 Multiple Senior Flow Assurance Engineers ...
Senior Flow Assurance Engineer Location: Leatherhead About Us: Join our innovative team, specialising in Oil and Gas solutions. We value collaboration, technical excellence, and personal development ...
EYFS Teacher - Free Flow / Continuous Provision An "Outstanding" Primary School in the Borough of Merton is eager to find an EYFS Teacher for a September 2024 start. This is a full-time, and ...
Flow Assurance Consultant - South East London - Permanent - CCUS / Hydrogen / Renewables / Oil&Gas / Offshore / Onshore KEY RESPONSIBILITIES: * Reporting to the Manager of Energy Consulting, the ...
Our client is a leading ethical childcare provider dedicated to providing the best possible care and education for all children. They operate nationwide; constantly investing in their people and ...
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 ...
Responsibilities will include operating and improving on the company's cash management, cash flow forecasting, treasury operations, bank relationship management, short-term investing and payments ...
Understand data flow within the manufacturing ERP systems, MES systems and integrations with both common and uncommon applications. Key skills required: * Excellent communication, communicate ...
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
Flow Rates Product ControllerJob Type: Contract (12 months)Location: LondonOpportunity Overview: A fantastic opportunity has arisen to temporarily join my client, Nomura, as a Flow Rates Product ...
Preparation of daily Cash Flow, Cash Flow Forecast and Budgeting * Balance sheet reconciliation of all cash related accounts * Liaising with banks, cash providers * Preparation Group Cash flow ...
... stock flow and engage with the community. The successful candidate will have experience in one or more of the following areas: logistics, retail, procurement, community engagement, and will be a ...
Utilise Power Automate (Flow) where appropriate to automate and streamline workflows across different systems and applications * Integrate Dynamics 365 with other systems, applications, and data ...
Craft user journeys and sitemaps to optimize product flow and identify potential UX issues * Translate research and data into clear and visually compelling interfaces for TerraMatch, Land & Carbon ...
This role will involve cash flow management, expenses tracking, client proposal drafting, client presentation preparation, social media posting, and marketing campaign execution. Responsibilities ...
Lead treasury and cash flow management activities, ensuring optimal liquidity and financial stability. * Collaborate with internal stakeholders to develop and monitor financial plans and budgets ...
Forecasting Cash flow optimization and Cash Flow forecasting. * Work closely with the Financial Controllers across the business, Senior Management Team and CFO to understand cash requirements for ...
Cash flow management including forecasts and daily/weekly monitoring and reporting. * Management of the Revolving Credit Facility drawdowns and covenant compliance * Ownership of the FX policy, from ...
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 ...
Update cash flow models with latest assumptions on leasing, rental income, operating expenses, and capital expenditures. * Completes the quarterly or monthly valuation cycle. * Coordinates with ...
Review and overall responsibility for Group cash-flow management including 13 week cash-flow, management of supplier and statutory payments and overview of trade debtor recovery. * Review of Group ...
Accurate 12 month rolling cash flow forecast produced on a weekly basis. * All cash, fixed asset, tax and intercompany balance sheet account reconciliations produced and reviewed monthly in line with ...
The role requires expertise in handling order-flow and developing quantitative trading strategies to optimize trading performance, and experience in a HFT (High Frequency Trading) Low Latency ...