A leading successful well known financial services company are recruiting for a Financial analyst to add value to the financial management and treasury service for the business areas. Working in a rapidly growing company that looks after its staff and offers carer development. You will contribute to ... provision of treasury and cash management . You will deputising for the treasury manager. A varied role for a qualified accountant or finalist. Apply today!
My client, a Public sector organisation based in central Bristol, is currently seeking an Accountant to join them. The main purpose of the role is to ensure that all Corporate finance Issues are completed in line with all company and statutory requirements with particular emphasis on: - Financial and Management accounting Capital and Treasury Management activities Budget Policy and review Grants and associated expenditure The role will involve the supervision of up to 5
Business Analysts required for leading Financial Services player with responsibility for providing Business change expertise to projects across Treasury and Treasury Finance. As the primary liaison for system related changes you will be responsible for testing and implementation support through integration and user acceptance testing. With previous Business Analysis exposure preferably within a Treasury environment you will have excellent analytical skills and detailed
Treasury Controller Location: London, UK We're currently looking to recruit a Treasury Controller to join us in London. Reporting to the Corporate Controller, you'll work in a three-person team as the controller for Shell International Finance, responsible for performing a ledger custodian role, adherence to relevant SOx controls, participation in projects and giving informed advice. You'll be expected to prepare and calculate current and deferred tax, as well as
The Finance Manager will provide information and reports to key stakeholders. You will have a proven record of direct involvement in daily cash management and cash forecasting, as well as basic treasury type operations. Strong analytical skills with good knowledge of working with Microsoft Access and Excel are also important as is being up to date on accounting routines (UK GAAP). Please note you will receive an automated response advising you that we have received your CV
We currently have a vacancy for a Tax specialist at Vice President level who will have the primary responsibility for the support of European Fixed Income Division. General Duties * Coordinate with other support disciplines (Legal, Accounting, Treasury, Regulatory) to ensure that tax provisions, structures, policies, guidelines, etc. are understood and implemented appropriately and ensure other support functions are involved as necessary in analysing and developing
Ever thought about work in China? PricewaterhouseCoopers is regarded as a leader in the corporate treasury consulting market. Our treasury consultants provide a full range of risk management, banking and cash management, technology and assurance services to the world's leading multinational corporations. Our treasury team is co-ordinated on a global basis to deliver appropriate solutions to clients to meet the needs of ever changing
The Company ----------- Robert Half Finance and Accounting seek an ACA Qualified Financial Accountant for the UK Corporate head quarters of a global manufacturing organisation near Newport. The Role -------- The accountant will be responsible for the production of statutory accounts, tax returns, corporate office costs and P&L as well as UK Treasury and cash Management. Knowledge of UK GAAP is essential and knowledge of US GAAP and advantage. The successful candidate
Come find the hidden treasure.......... Owing to growth and increasing demand for our services, we currently have new opportunities for Managers in our Corporate Treasury team, based in ... financial risks faced by our Corporate clients, our Corporate Treasury team has ... corporate treasury function would be preferable - Strong understanding of ... experience of managing teams, ideally in a treasury capacity -
Treasury Accountant. Assisting the Treasury Accountant to liaise with banks to ... by the Treasury Accountant Assist the Treasury Accountant with all aspects of the Treasury Function BARCLAYCARD & EXPENSE PROCESSING Process all employee
Leading Derivative Risk Management ASP urgently seek 2 Junior Consultants. You will be responsible for implementations and discussing Business Processes with the EMEA client base and will ideally become a thought leader within the Hedge Accounting field. Ideally you will have 1-2 years exposure to Derivatives, Hedge Accounting or Treasury and be passionate about solving client's problems. We require 1-2 years experience within Financial Services ideally working with Interest
with treasury and foreign exchange * Building relationships with junior and ... cash flow and treasury. * Preparing analysis and reports on job costing and
completed within agreed timetables To assist the Accounts & Treasury Team ... the Accounts & Treasury Team Leader with the implementation of new payroll ... Dealing with complaints and referring any E&Os to the Accounts & Treasury... the Accounts & Treasury Team Leader in audit and workload planning for
This is a rare opportunity to work for one of the regions premier employers. You will oversee all treasury requirements and supporting timely and accurate reporting. - Maintaining foreign exposure forecasts and developing a hedging program inline with policies and requirements. - Completion of quarterly treasury reporting and reconciliations - Working with Contracts and Supply Chain to identify and report embedded derivative exposures - Development of cash forecasts and
Our client is a growing global leader in software and processing solutions for the Financial Services industry and is currently recruiting for a Support Consultant for Market Risk clients. You will be required to provide support, consultancy and training for a customer base of over 150 financial institutions both on and off client site (travel will be required). The ideal candidate will have solid working knowledge of Fixed Income, Derivatives and Treasury Instruments, and
A leading blue chip bank is currently seeking a Treasury and Banking Operations Section Manager for its operations based in Manchester. Reporting into the department manager, the purpose of the role is to lead, oversee and manage the banking operations team from both an operational and people management perspective whilst ensuring KPIs are hit and SLAs achieved. The successful candidate should have a financial services background of 2 years and during this time have managed
Global organisation requires a qualified accountant to work as part of their close knit team. You will need to have a strong understanding of accounts to trial balance with experience if possible. You will be responsible for the Balance sheet, Treasury and statutory reporting. Management experience is preferred but not essential. The right candidate will have developed communication skills and the ability to work well within a team. Career progression is available within