Leading Big 4 Consultancy providing corporate Treasury advisory services urgently require a Treasury Manager. You will lead reviews of Treasury Risk management ... improvements, benchmarking clients Treasury functions agains "best in class", assisting ... UK and US GAAP accounting and implementation advice, SOX Treasury documentation ... Treasurers) an Accountancy qualification or MBA with solid Treasury experience demonstrating an understanding of IAS39 and/or FAS133 and knowledge of Treasury
Hudson Cooper is recruiting for Interim Treasury Manager for a fixed six month contract on behalf of a large global organisation based in Hampshire. The role will be to consolidate and analyse foreign currency cash flows and exposures, to monitor interest rate management performance be able to review guarantees, letters of credit and similar indemnities, to provide Treasury support merger and acquisitions to promote and support compliance with Treasury Policies. The
My client is a word leader in their chosen field and is recruiting an Interim Treasury Manager on a 6 month assignment. You will be required to ensure the levels of Debt drawn down are kept to a minimum by effective Forecasting and Management of the cash for the Group on a day to day basis. The ideal candidate will be a good technical accountant with a strong exposure to treasury with specific focus on multi currency, controlling & monitoring of foreign exchange
£35,000 to £42,000 per year (Pension+ Bonus+ Excellent Package)
location
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Wimbledon, London
description
:
An exciting opportunity has arisen to join a hi-tech, global leading software and services provider as a Treasury Cash Manager. This growing company offers an excellent salary package, and benefits include 12% bonus, 6% contributory pension, 25 days holidays, and private medical insurance. The successful candidate will have excellent Excel skills, and have experience of using software such as Cognos and/or Hyperion. Duties: Assist the company subsidiary in recognising
Our client, a highly successful plc, is going through an exciting phase in their growth plans. As a result they require a highly commercial and ambitious Tax & Treasury manager. Candidates must: Have a strong technical background in Tax & Treasury Being highly proactive in your approach to tax planning and treasury management Be commercial in your outlook
and monitoring performance metrics *Regular reporting of Treasury positions and ... procedures are properly documented. The Candidate *Proven Treasury experience
£45,000 to £49,000 per year (Bonus, pension, 30 days holiday)
location
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Luton, Bedfordshire
description
:
reconciliations. *Ensuring effective management of cash resources through treasury... and revenue items related to capital expenditure and treasury. You will be a
An excellent opportunity has arisen, working for a market leader in the leisure industry, for a Treasury Manager. This role reports to the Director of Finance Responsibilities include: * Liaising with the Shared service centre and Commercial finance teams as well as other areas of the business * Identifying and Implementing change and make a real difference to the company * To ensure cash is effectively managed through controlling all aspects of cashflow and producing daily
£35,000 to £40,000 per year (car + healthcare + benefits)
Location
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Leicester, Leicestershire
Description
:
Our client is a market leader and employer of choice. They are looking for a Finance Manager to join their Head Office team to strengthen their Financial Accounting capabilities. Main duties of this role will include taking responsibility for the preparation of the financial/ statutory accounts, managing a small team and developing systems and proceedures. We are looking for a Qualified Accountant (ACCA or ACA) who has a strong appreciation of Treasury and Tax issues and US
Our client, a global group is urgently seeking to recruit a technically strong ACA for a role as a Senior Controller for an ongoing contract. Key responsibilities will include managing a team of 10 qualified and part qualified accountants to ensure the smooth running a key area of the corporate centre accounting function, the main interface will be Group accounts and treasury function. The ideal candidate will have strong technical accounting knowledge (IFRS), experience
A contract opportunity has arisen in Portsmouth for a Treasury Accountant. Working for a marine organisation, the purpose of the role will be to ensure levels of Dept drawn down are kept to minimum by effective forecasting and management of cash for the Group on a daily basis. As a Treasury Accountant your responsibility will be to monitor the daily cash balances, putting excess funds for the ... candidate with previous experience in a treasury function. Analytical and
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
My client is looking for an immediate temp initially for 6 months to go and assist in the treasury department. Key Duties: -Produce all relevant schedules for monthly treasury reports within agreed deadlines -Reconciliation of ledger accounts for money market deposits -Management of interest accounting entries -Month end accounting -Running Treasury Management Systems reports -Maintaining ...treasury skills -analysis, reconciliations, foreign exchange, investments and cash
This leading company based in Hampshire is looking to recruit an experienced Group Treasurer to join its finance team. You will be responsible for cash management across the Group, cash flow forecasting to ensure adherence with borrowing covenants and forex exposure management/ accounting. This is to include ensuring group compliance with board approved treasury policies, implementing group ...Treasury Professional or qualified accountant with substantial experience within a
comprehensive access to the world's capital markets. Regional Treasury is the primary contact for the Business Groups on all Treasury related matters. Regional Treasury proactively ensures adherence to Group Treasury policies by the Business Groups and fosters the dialogue with the Group Treasury process owners on ... adherence to the central treasury approach * Interacts with local regulators, industry groups and peers regarding all treasury related matters (also in
Job Title: GROUP FINANCIAL CONTROLLER Skills: Group FC; consolidation, Treasury, IFRS and GAAP Salary: £70, 000 to £90, 000 Location: Watford The Company Our client is an international brand based in Watford which has recently gone through a management buy out. It has 10 operating centres in Europe contained in 5 holding companies. The Role - Lead the company's financial accounting, reporting and ...Treasury framework, cash and forex management, treasury related controls and
We currently seek a financial consultant with a solid understanding of FAS / IAS in particular IAS 39 / IFRS 7 to work for a leading provider of derivative risk management solutions. Solid experience of treasury or audit would also be ideal. The role will involve leading implementations of my clients software in Europe typically at large corporates or banks. The right candidate will have minimum of 2 yrs professional experience in financial services sector with either