Organisation Description My client a prestigious manufacturing organisation are looking to recruit a Treasury/Bank Guarantees Manager. Job Description The role will co-ordinate the raising, issue and cancellation of bank guarantees in a timely, cost-efficient manner to ensure al the necessary t...
My Client a Large Global Financial Services firm and market leader based in Glasgow is looking to recruit an experienced Treasury Controller on a temporary 3 month contract. Over view of the position The daily hedging process captures the P L movements to be hedged by Treasury. At month end the team...
A newly available, exciting opportunity for a finance professional to join a successful global company with offices in Witney. Overview of the position/company at present: A dedication to quality, the continual evolution of new products and the development of new technology has helped the organisat...
Hudson is one of the world's leading providers of PERMANENT RECRUITMENT, CONTRACT PROFESSIONALS, OUTSOURCED SOLUTIONS and TALENT MANAGEMENT SERVICES. From single placements to total project solutions, Hudson helps organisations achieve greater organisational performance by assessing, recruiting, de...
Organisation Description An excellent opportunity to join this successful, leading PLC based in Hampshire. This role reports to the Head of Tax and Treasury and supports the treasury function for this growing business. Job Description Responsibilities for this role will involve: Consolidate we...
Job Description Bookpoint Limited is one of the leading book distribution companies in the UK and looking for someone to work in the Accounts Department. The overall objective of the role is to provide an effective client accounting service to Bookpoint and its clients, whilst assisting the Finance...
Organisation Description Reed Accountancy are pleased to be representing a national retail group who require an assistant accountant to join the reconciliations team. Job Description Duties include: - Reconciling multiple bank accounts - Investigating non reconciled items - Recognising and repor...
Organisation Description My client, a growing global organisation, is currently recruiting for a Treasury Analyst to join their busy finance team. The purpose of the role is to manage the Groups' liquidity, foreign exchange and interest rate exposures. Job Description The role will encompass the...
Privately owned commodity trading company with a global presence, Based in London, they trade in various products, including oil, gas and sugar. We are seeking a Treasury Manager to join the existing Treasury Department. This newly created position is in addition to the existing team, since the com...
Finance Analyst, c.£30,000 + benefits, Surrey A fantastic opportunity has arisen within a highly successful, global, blue chip company. This company, a major player in their sector, is currently recruiting for a Finance Analyst to work in their EMEA cash management team. The role includes issuing a...
Our client a top tier global professional service firm looking for an experienced treasury professional for its shared treasury services division, which supports in excess of 25 key businesses in the UK and across Central and Eastern Europe. In collaboration with the group’s senior treasury managem...
Treasurer, Head of Treasury, Head Treasurer, Treasury, Bank, Retail Bank, Commercial Bank. Our client, an exciting new London based Retail and Commercial Bank is looking for an experienced Treasurer to set up, run and deliver a commercially aware Treasury function to support the anticipated fast pa...
Job Description: Preparation of electronic bank transfers for main WA bank accounts. Maintenance of cashbooks to records, all outgoing payments and incoming receipts for the accounts. Monthly preparation of related bank reconciliations for review by WA reporting personnel. Administration of West A...
This is an excellent permanent opportunity for a Treasury Specialist to join our prestigious Basingstoke based Client on a permanent basis.
The role is a varied and interesting one and will involve production of daily cash reports, rolling cash forecasts, variance analysis, cash flow, managing da...
Our client is a international market leader in the provision of essential industrial services. Their head office is based out of West London and supported by a substantial network of more than 40 offices around the globe. At present they are looking for an all round Treasury Analyst to join their ex...