Posted by Pursuit Resources Group • £28K/yr to £33K/yr
Our client is looking to recruit a Treasury Assistant, they are a leading international manufacturing business based in Essex.
The Treasury Assistant will work as part of a high-calibre in-house treasury function looking after some of the group's international entities
This is a permanent position paying circa £28,000-£33,000 and an excellent benefits package, with the offer of study support for someone wanting to complete an accounting or treasury qualification.
Posted by Pure Resourcing Solutions • £30K/yr to £36K/yr
General
Pure are delighted to be working with a well established organisation based looking for an experienced Treasury Assistant to join the finance team.
This role will mainly be responsible for the for day to day banking management, petty cash processing, UK and foreign payments, import payments, employee expenses, and various month end tasks / reporting.
Reporting to Assistant Group Treasurer, the individual will be required to be involved in a varied range of activities covering all aspects of treasury management, including daily cash liquidity, forecasting, debt, and FX risk management, all under a SOX control umbrella as a result of Nomads NYSE listing.
General
As part of the wider Business transformation project (and treasury transformation within it), the Nomad Treasury team is implementing a new TMS S/4 Hana.
This role will be required to ensure stability of operation during that period, whilst also being expected to be part of the change in ways of working / TMS development.
Based Stevenage, Hertfordshire our award-winning client are looking for a Treasury Accountant to join their growing team on a 12-month fixed-term contract, with the opportunity to work on a hybrid basis after successful training and induction, with 2-3 days per week based onsite.
This role is ideal for someone who has a thorough understanding of banking regulations and procedures.
The position involves managing and overseeing daily accounting operations within the Banking Team, including tasks such as preparing and recording financial transactions, reconciling accounts, preparing financial statements, and generating financial reports.
Posted by Michael Page Finance • £45K/yr to £55K/yr
A great Treasury role encompasses the management of daily and monthly cash processes, ensuring prompt Treasury settlements, and acting as a vital independent check for Front Office operations.
The ideal candidate will drive innovative solutions for Treasury projects, handle audit requests seamlessly, and cultivate strong stakeholder relationships, delivering exceptional value and support to the organisation.
Our client is a prestigious property group with a rich heritage and a strong global presence.
Reporting into the Head of Treasury, this role will have a broad remit across all day to day activity, leading a team of three to deliver on cash management, forecasting, FX execution, risk and controls and reporting.
I am currently working with a well known insurance brand to support with the hire of their first number two role.
Alongside the BAU, this individual will also work with the HoT to develop the FX strategy for the firm and be involved in a number of exciting projects as the business continues to scale.
Reporting to Property Treasury Manager, the Treasury Analyst will be responsible for managing the secured debt portfolio and supporting the release-of-charge process relating to the properties being sold.
On behalf of a large Housing Development company in London, we are recruiting a Treasury Analyst to work on their large property portfolio.
We are seeking a Treasury Accountant for our public sector client based in London on an initial 6 month contract paying up to £450 per day inside IR35.
This role allows hybrid working.
The successful candidate will possess proven skills working with the following -
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.