Working hours Mon - Fri 9am - 5pm (35 hours p/w) An excellent opportunity has opened up with my client to join their Tax & Treasury department in the role of Funding Manager. The main purposes of the ...
Our client is looking to recruit a Treasury Manager Main responsibilities of the role: * Forecasting FX requirements on a quarterly basis in accordance with Group Policy. * Managing the FX hedge ...
TREASURY CONTROL & ASSURANCE MANAGER UP TO £70,000 MANCHESTER This role does not offer sponsorship. This role is an exciting new role to utilise your Treasury experience and manage impacts on this ...
Treasury Analyst / 6 Month Contract Role / Central Manchester / Salary £30,000 - £35,000 / Hybrid / Up To 35 Days Holidays / Flexible Working Treasury Analyst Benefits Include: * Salary between ...
Treasury Control & Assurance Manager - Award-winning FinTech - Up to £70,000 + 10% benefits - Hybrid working in Manchester A new exciting opportunity has arisen for a Treasury Control and Assurance ...
The Fund Treasury Assistant will play a crucial role in supporting the treasury and fund management functions by executing various administrative and operational tasks related to Treasury Management ...
Leveraging their expertise in Treasury concepts, the ideal candidate will play a pivotal role in assessing the business control environment, mitigating risks, and ensuring the effective ...
As a Senior Group Treasury Analyst you will be responsible for managing all aspects of cash management and cash operations. This will include cash forecasting and assisting with consolidation ...
My client is a professional services business based in Salford, very close to the city centre. Due to continued growth of the company they are recruiting this role into their finance function on a ...
Company description: Premier Foods is one of Britains biggest listed food companies, employing over 4,000 colleagues at 15 manufacturing sites and offices up and down the country. Many of our brands ...
This is a varied role which includes responsibility for performing the duties of the Treasury Back Office function, including the inputting of payments and journals to match the cash flows of the ...
Established for over 50 years our Client is well trusted Investment and Treasury Group who now need to appoint a Credit Control Team Leader. WHAT YOU CAN EXPECT AS THE CREDIT CONTROL TEAM LEADER
Key responsibilities for the role include: - The management and coaching of Payroll, Billing, Credit Control, Treasury and Management Accounts teams in Manchester with month end close processes ...
Manage accounting, tax, treasury, payroll, accounts receivable, accounts payable, for the region in coordination with the Corporate functional leads. * Ensure accurate forecasting and budgeting ...
Hold a relevant qualification in accounting or treasury (ACA, ACCA, CIMA, CTA) * Strong numerical and analytical skills with a commercial mindset * M... ZIPC1_UKTJ
Preparation of Cash Management & Treasury reporting * Drive the cash management process via regular short terms and longer- term forecasts * Liaise with tax advisors, ensure the group is compliant ...
Complete Finance Annexes for statistical monitoring and provide reports and information to CEO, Treasurer, Chair and auditor as required. * Create, send, and follow up on invoices and manage process ...
Leading the organisation's corporate accounting and treasury management functions * Building influential relationships with key stakeholders across the organisation's Service areas, at a strategic ...
Hold a relevant qualification in accounting or treasury (ACA, ACCA, CIMA, CTA) * Strong numerical and analytical skills with a commercial mindset * Management experience * Advanced Excel, Word, and ...
The teams include accounts, billing, credit control, management information, matter maintenance, and treasury. The successful candidate will have a certain level of experience, more suited to someone ...
Management of divisional cashflow including liaison with Head of Group Treasury. Pro-active cash receipt management including regular board updates on latest cash forecast, risks & opportunities
Robust treasury and cash flow management * Co-ordinating year end processes and ensuring accuracy of financial information * Management and development of a small finance team, annual appraisals and ...
Responsible for overseeing the sales, purchase, treasury and cash flow functions * Preparing month end management accounts, preparing reports, budgets, variance analysis and financial statements
The finance team are responsible for processing finance transactions in the business including payroll, purchase ledger and treasury management activities. Role: * Management and leadership of the ...