Posted by Michael Page Finance • £70K/yr to £80K/yr
The Treasury Manager will play a pivotal role in managing the company's financial assets and investments, contributing to the overall financial strategy within the energy and natural resources industry.
This role is based in London and requires a proactive professional with a strong knowledge of cash forecasting, debt management, FX and liquidity management.
Our client is a reputable firm in the energy and natural resources sector, with a workforce of over 1000 spread across 30 countries.
Posted by Michael Page Finance • £90K/yr to £120K/yr
A Head of Treasury role offering an exciting opportunity to build and lead the treasury function for a rapidly expanding, Private Equity-backed global manufacturing business.
Based in London, you will play a pivotal role in shaping treasury strategy, overseeing cash and liquidity management, and supporting the company's ambitious growth across Europe.
Our client is a rapidly expanding manufacturing business, strategically positioning themselves in the UK with a new London office.
I am seeking an experienced senior treasury professional to oversee day-to-day treasury operations and lead strategic projects.
This is an exciting opportunity for an individual with a proven track record working in large multinational companies to take on a number two position and drive the innovation of this treasury function.
I have recently partnered with a private equity backed technology company to recruit a Deputy Treasurer.
We are looking for an experienced Treasury Dealer to be responsible for FX/MM and Debt Securities execution for a prestigious international bank in London.
Are you a Finance / Treasury professional with a sharp analytical mind and a passion for optimising financial strategies?
Posted by Service Care Solutions - Legal • £357.60/day to £450/day
Candidate Criteria
Experienced in treasury and cash flow management for large organisations, preferably public sector.
CCAB/CIMA Qualified Accountant or Equivalent.
General
The postholder will also support the Council's day to day pension fund and treasury management activities including daily cashflow management and providing the necessary instructions and information to treasury advisors and pension fund service providers including the fund's investment and actuarial advisors.
As part of a high-performing Treasury Operations team, you will play a critical role in supporting the bank's liquidity management and risk mitigation activities.
We are seeking a detail-oriented and proactive Treasury Operations Analyst to join a leading bank based in London on a daily rate contracting basis.
This hybrid role offers flexibility with the opportunity to work remotely while maintaining a collaborative presence in the London office.