Opportunity Overview: A fantastic opportunity has arisen to join my client, one of the leading real estate companies in the UK, as a Treasury Reporting Manager.
My client creates places that make a lasting positive contribution to our communities and our planet.
They bring people together, forming connections with each other and the spaces we create.
Our client who is a dynamic and rapidly expanding professional services business with a strong focus on its employee wellbeing is currently hiring for a Treasury Assistant on a 6 month fixed term basis.
This role is available due to a project implementation of transferring funds from multiple bank accounts to a new provider.
This business offers a vibrant working environment, with a strong emphasis on employee well-being and development.
I'm looking for someone with Treasury experience to join a busy and dynamic team in Newmarket.
Initially, this is a maternity cover contract for 9-12 months and ideally you'll be available to start within the next month to ensure a good handover.
Enjoy the perfect work-life balance where you'll play an important role in optimising the Group's cashflow whilst working a 4-day week - 2 days on site, 2 days from home!
The successful Treasury Manager will be responsible for
Manage existing and future loan funding arrangements.
Implement and maintain interest rate management processes.
General
Venn Group are currently partnering with a well-established Housing Association who are looking for a Treasury Manager to join their team as soon as possible.
Our client, one of the leading financial institutions globally, is seeking a Treasury Implementation Advisor to join their team.
Are you ready to join a dynamic organisation committed to making a difference in the world of finance?
With a core focus on creating an inclusive workplace, they value diversity and believe in fostering an environment where everyone can thrive and bring their whole selves to work.
This role presents an excellent opportunity to work in a broad treasury analyst role in FTSE250 Company undergoing treasury and finance transformation, to develop business partnering and analytical skills as well as to work independently with exposure to senior stakeholders.
You will be reporting to the Group Treasury Manager and will take ownership for development and implementation of Group treasury policies and procedures, ensuring compliance with internal and external requirements and maintaining strong controls environment within treasury management systems and treasury operations.
Develop and maintain robust, efficient and transparent operational processes across the business;
Process correct and timely salary payments to designated payroll areas across our FTSE 100 client (including Channel Islands, Isle of Man and international employees), and provide a specialist payroll service to same.
Provide specialist payroll subject matter support and advice to the broader payroll department, including understanding the impact of legislation changes and the ability to complete manual payroll calculation and comprehensive, detailed payslip explanations.