Senior Treasury Analyst, UK Bank - £80,000 - £120,000 bens bonus (range dependant on experience)
If you are from the UK Banking market and have experience in a mid to large Bank or lender and want some excitement in your life this could be for you.....
Brilliant opportunity to join one of the leading-lights in UK banking as part of their scale-up phase after several years of impressive revenue growth and reaching profit milestones.
A global treasury solutions company is seeking a Treasury Solutions Consultant to join their team based in Central London.
If you have a strong understanding of treasury, are an intellectually curious analyst, as well as strong business development and consultancy experience then you are strongly encouraged to apply.
Within GSA, the Treasury Strats team are responsible for facilitating management of liquidity and funding risks and financial resources across the bank.
Group Strategic Analytics (GSA) is part of Group Chief Operation Office (COO) which acts as the bridge between the Bank's businesses and infrastructure functions to help deliver the efficiency, control, and transformation goals of the Bank.
JSS are partnered with a global market research company to recruit a Treasury Manager focussed on cashflow forecasting across APAC and the Americas.
The role encompasses Group Treasury cash forecasting activities at the centre in London, supporting regional treasury activities and ad-hoc treasury projects.
This is a critical hire, playing a crucial role in a dynamic finance organization that is undergoing significant transformation.
I am currently working with an SME property firm who are seeking a Treasury Manager with demonstrable experience across banking, cash and debt management, financing to join their small centralised treasury function.
Reporting into the Head of Treasury, the hire will assume a number two role in the treasury function, with responsibility for one report who is at Assistant level.
Due to the nature of the business, the role is predominantly operationally focused and doesn't involve hedging or dealing, however due to the growth and dynamism of the business it will involve some exciting work on the financing and debt management side of things.
I have partnered with a leading multinational consultancy firm who are seeking a Treasury Manager to bolster their Treasury function.
These positions will be reporting into the Senior Manager responsible for Group Cash Forecasting.
Key deliverables of the role
Create treasury database: Develop a database categorising treasury matters by country, including working capital needs, currency risks, letters of credit, cash extraction plans, banking partners, and regulatory requirements.