A progressive international law firm is looking for a highly experienced Senior Business Development Manager to join their global team based in London on a 12 month fixed term contract basis.
They execute the firm's strategy and drive profitable growth with a specific focus on chosen industries, markets and clients.
The firm's marketing and business development function is located in major cities across EMEA, Asia Pacific and the US.
Our International Banking client are seeking an Area Branch Manager in Wolverhampton to join the team as soon as possible on a 15 month FTC with a salary of £50,000 on offer.
This role comes with a great perks package including private healthcare, generous holiday.
What does the role entail
Working as the Area Branch Manager you will efficiently manage and oversee the administrative, operational and financial functions of the branch, promote branch visibility and drive business growth by ensuring customer and community awareness of the banks products and services, to facilitate the achievement of set targets for operational and sales performance.
Are you a talented and accomplished Senior Client Manager in Liverpool keen to work on a 3-month contract/interim basis in exchange for an exceptionally high hourly rate and high level of flexibility?
We're seeking a talented and highly experienced professional in general accounting and tax able to perform at senior manager level with a proven track record of success in short term roles in public practice.
Do you thrive in dynamic environments, and are you ready to take on a challenging interim role that offers both financial reward and professional growth?
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.