Broadgate is looking for someone who has had at least 5 years of experience in a cash operations and treasury function and someone keen to take the next step up in their career.
Our client can offer a great chance to step up and offers great responsibilities and progression in the future.
Main Requirements
Strong understanding of incoming and outgoing payments.
As the Senior Treasury Manager, you will manage cash and liquidity, executing the Treasury Strategy and support the Director of Treasury in a number of specialist areas including new funding.
Overview
Castlefield Recruitment are currently working with a well-respected Midlands based Housing Association in order to recruit a Senior Treasury Manager on a 3-4 month interim basis to lead all day to day Treasury operations, including compliance with Treasury Management Policies.
Responsibilities
Act as the lead day to day contact for the external auditors, and own all deliverables in relation to the annual audit.
We are on the search for a Senior Treasury Analyst for our client who are a leading financial institution committed to excellence and innovation in the banking sector.
As Senior Treasury Analyst, your primary focus will be on conducting in-depth analysis and forecasting related to various aspects of the bank's financial position.
With continued growth and ever evolving, they are seeking a talented individual to join our dynamic team..
Our client, a prestigious international bank is seeking an experienced Treasury Analyst to join there friendly and busy team in supporting 5 front office dealers.
You will be required to handle and monitor various day-to-day activities related to the treasury operations, including money market transactions, foreign exchange, and treasury settlement.
You will be responsible for providing operational support for our treasury products and interbank market transactions.
As the Senior Treasury Operations Specialist you will be responsible for providing operational support for the banks treasury products and interbank market transactions.
Our client, an international a bank based in London seeks a Treasury Operations Specialist to join their Treasury Operations Team.
Our large multinational financial services client requires driven individuals to join their dynamic and growing workforce as a SeniorPensions Administrator.
This position is a permanent and the client is looking for an ambitious individual with a progressive attitude.
Office Flexibility: Working from Home availability (2 days per week).
As the Senior Treasury Analyst, you will help facilitate financing for an ambitious new homes program and provide insightful analysis to senior management.
Overview
Castlefield Recruitment are currently working with a well-respected Midlands based housing association in order to recruit a Senior Treasury Analyst on a 12 month FTC basis to cover maternity leave, ensuring the smooth operation of financial activities.
Responsibilities
Conduct daily cashflow reviews across group companies.
Our client, a leading banking organisation, is seeking a skilled professional to join their team as a Senior Office Administrator on a Fixed Term Contract for 6 months.
Are you a talented Senior Office Administrator looking for your next exciting opportunity?
Senior Treasury Analyst required to join our global service sector client based in Glasgow City Centre.
You will be primarily responsible for cash management and bank administration activities within the wider treasury team as well as supporting specific project based work.
A global energy firm is currently seeking a senior treasury professional to join them for a 12 month FTC, to take on the #1 role within the UK headquarters, managing and developing a global function with particular focus on the EMEA region.
The role will include ownership of cash management, debt facilities, FX risk, banking relationships, treasury policy and developing internal controls.
Responsiblitities
Cash and Liquidity Management: Oversee daily cash positions and weekly subsidiary cash requirements, with a focus on medium and short-term cash forecasting.