Posted by Michael Page Finance • £50K/yr to £60K/yr
This Treasury Analyst position is a key front-office role where you'll manage liquidity, execute trades, and navigate foreign exchange risks while collaborating with senior treasury leaders.
This opportunity allows you to make a meaningful impact on financial operations and drive process improvements in a dynamic, fast-paced environment.
Our client is a global leader in their industry, known for delivering innovative solutions that enable businesses to streamline processes and drive growth.
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.
Posted by Pinpoint Resourcing Ltd • £25K/yr to £30K/yr
General
Pinpoint Resourcing are currently working with an exciting well established business based in Holborn to source an Accounts Assistant to join them permanently.
This is a great opportunity for a recent graduate or 1-2 years experience to develop their skills and progress within their career.
Responsibilities
Working alongside a fast-paced finance team assisting handling internal / external queries, making payments and collecting outstanding monies owed.
Posted by Michael Page Finance • £500K/yr to £600K/yr
We are looking for a motivated and tenacious self-starter to join our clients Group Treasury function.
Our client is a large-scale organisation within the real estate sector.
The ideal candidate will be able to thrive in a challenging, fast-paced environment, have an outstanding work ethic and work individually on projects as well as part of a dynamic team.
Posted by Michael Page Finance • £50K/yr to £60K/yr
This role offers the opportunity to manage and optimize global cash operations, lead cash-flow forecasting, and execute strategic investments within a dynamic FTSE 30 Treasury team.
You'll drive process improvements, collaborate with key business stakeholders, and contribute to the transformation of the company treasury function.
My client is a global company within the FTSE 50 with a diverse portfolio across multiple sectors.
You will be joining Treasury, a central function that manages and optimises Deutsche Bank's funding, liquidity, interest rate risks, and other risks.
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.
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.
As the Group Treasury Manager, you will play a key role in optimising cash flow, managing group liquidity, and taking ownership of the group's treasury accounting obligations.
Step into a pivotal role at a leading financial services firm in London, with an exciting growth trajectory designed to elevate the capabilities of their Group Treasury team.
You'll also provide guidance to junior staff as they work to achieve the organisation's financial objectives.