Sterling Williams are working with a City based financial institution who are seeking a Fluent Mandarin Treasury Candidate to join their team on a Fixed Term basis (12 months)
If you speak Mandarin and have a background in Treasury (Front, Middle or Back Office) or in liquidity risk, we would love to hear from you.
The candidate will be working to price and execute the liquidity, risk management and hedging activities.
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.
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.
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.
As Head of Treasury and Account Receivable, you will be responsible for managing an onshore and offshore team tasked with the day-to-day operations of the Treasury department across the UK.
This will include oversight of all cash, debt, capex (working capital), forex risk management, administration, control and governance over the UK group treasury function.
Are you looking for an opportunity to form an integral part of our UK Finance function?
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.
This is a large, global business who are looking to expand their treasury operation with the appointment of a Treasury Analyst to further grow and compliment their function.
Your new company
The business operates in over 40 countries worldwide and is known to have excellent career progression and development opportunities for the right individual.
As Head of Treasury and Account Receivable, you will be responsible for managing an onshore and offshore team tasked with the day-to-day operations of the Treasury department across the UK.
This will include oversight of all cash, debt, capex (working capital), forex risk management, administration, control and governance over the UK group treasury function.
Are you looking for an opportunity to form an integral part of our UK Finance function?