I am currently partnering with a global financial services firm based in the City of London, who are seeking an experienced treasurer from the FS/banking/brokerage space to lead a mid-sized team during a time of growth and change.
To be a good fit for this role, you will be able to deliver senior level, strategic value across commercial and operational areas and have a strong footing across all areas of treasury in a financial services setting.
The contract will run for around a 12 month period with potential for extension.
One of Mitchell Adam's clients, based in the Birmingham City Centre, is recruiting for a Treasury Assistant to come in and support the Treasury Manager.
This role is looking to begin as soon as possible, so please only apply if you are immediately available or on a short term notice, and although this role is a contract position they have said that due to growth there is a strong chance this role can convert over to permanent during this time.
This role here is exciting as it will be joining a business going through amazing amounts of growth and will be supporting this team on a 12 month maternity cover contract.
Reporting into the Head of Treasury, and working closely with the front office team, this would be the perfect fit for someone from either a banking or CCH background to come in and make an impact from day one.
I am currently working with a high growth FS firm based in the City, who are seeking an experienced liquidity risk professional with experience working with OTC/exotic derivatives to cover a period of leave in their team.
This is an interim position which requires a fast start (within the next 2-4 weeks) so please keep in mind when applying.
Our client are a market leading international company that are currently seeking an interim finance professional who will be responsible for the management and oversight of the company's treasury operations, including cash flow forecasting, banking relationships, and working capital management.
This role will involve collating all bank balances weekly, maintaining a 13-week rolling cash forecast, tracking metrics related to Accounts Payable (AP) and Accounts Receivable (AR), rationalizing the number of bank accounts across the group, reducing the number of banking relationships, managing the group's borrowings, and supporting the Group Reporting team.
The ideal candidate will have strong analytical skills, attention to detail, and the ability to work collaboratively across departmentss and be available to start immediately
The Altro Group?have a new opportunity for a?Treasury Assistant within our Account Receivable departmentto join the team based here in?Letchworth Garden City.
Do you have a background in book keeping, dealing with internet banking, BACS payments, multi-currency transactions and VAT?
The successful candidate will play a crucial role in overseeing the purchase ledger function and ensuring the seamless execution of financial processes related to it.
We are currently in search of a detail-oriented and organised Assistant Finance Manager to join our clients dynamic team on a 3-month contract basis.
This position is ideal for someone who excels in maintaining accurate financial records, adeptly handling queries, and performing reconciliations.
The Purchase Ledger Manager role is a key position within the Accounting & Finance department, playing a crucial role in the effective management of supplier accounts and ensuring the smooth running of financial operations.
Our client is a well-established organisation with a significant employee base, they are recognised for delivering exceptional experiences for their customers across North Wales.
Description
Manage and oversee the entire accounts payable function.