Here at SC Johnson Ltd , we have an opportunity for someone who wants start or build their career as a Treasury Analyst inour Front Office team based inFrimley.
This position requires a motivated Treasury Analyst to join a leading FMCG company's Treasury team.
The successful candidate will be responsible for elements of business partnering, internal & external financing, cash management, working capital and governance, controls & reporting.
Our client is a top-tier FMCG company with a presence across the globe.
My high-profile client are recruiting for a Business Service Analyst with excellent knowledge of Treasury Services from an Operational, BA and/or Change perspective covering all key products and classes.
The role is a until 31/03/2025 working normal hours.
The role is a Hybrid position on site 2 days a week and 3 days from home, working normal office hours.
Our client a leading foreign bank are seeking a Treasury Assistant to join their team and support the dealing Treasury operation, and to eventually cover during a dealer's absence.
You will provide an efficient link between the dealers and the rest of the bank for cash management purposes.
The Role
The Risk and Compliance Officer role will assist in mitigating the regulatory compliance risks inherent in the bank's Business.
Our leading financial services client is looking for a Business Analyst to join their team for an initial 6-month contract, with a strong possibility of extension.
I am currently working with an SME property firm who are seeking an 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 will involve some exciting work on the financing and debt management side of things.
I am currently working with an high growth financial services firm who are seeking an ambitious and motivated junior to join their fast paced Treasury Operations team.
Reporting into the Head of Treasury Operations, the role will have exposure to all aspects of operational treasury including cash management, securities settlements and reconciliations, payments, bank recs and TMS administration.
The firms offices are based in the City of London and require a minimum of three days per week in the office.
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.