OUR CLIENT are a leading and constantly growing property management business who are looking for a Treasury Assistant for their block property management team who will be reporting to the Treasury Manager.
THE ROLE RESPONSIBILITIES for the Treasury Assistant will include
Downloading bank statements and allocating receipts.
Supporting the Treasury Manager in managing aspects of Treasury Operations activity both in the U.K and Internationally, this is a really interesting, broad Treasury role that will give the successful applicant opportunity to business partner across the organisation.
Robert Walters are currently working in partnership with a fast paced, high growth organisation based in Weybridge to recruit for a newly created Treasury Analyst position.
Other roles and responsibilities for this Treasury Analyst position include
Cash flow forecasting and cash management responsibilities.
I am seeking an experienced senior treasury professional to oversee day-to-day treasury operations and lead strategic projects.
This is an exciting opportunity for an individual with a proven track record working in large multinational companies to take on a number two position and drive the innovation of this treasury function.
I have recently partnered with a private equity backed technology company to recruit a Deputy Treasurer.
Alexander Lloyd Senior Finance are delighted to be partnering a Global Insurance Organisation based in London with the key hire of a Treasury Analyst to work across the Investment Operations function.
Up to £50,000 Bonus & Benefits
Our client are experiencing huge growth and are on track to becoming the number one market leader within their field.
I am currently partnering with renowned buyside firm, who are seeking an analyst to join their small but dynamic treasury ops team.
Focusing mainly on BAU to begin with but with the view that it will grow into a more senior role in time, the firm are looking for 2-4 years of experience within broad financial services with the biggest tick boxes being curiosity, ambition and keenness to develop a skill set in this space.
Responsibilities
Cash Management: Monitor and manage daily cash balances across multiple accounts and currencies, ensuring optimal liquidity and efficient use of funds.
We are looking for an experienced Treasury Dealer to be responsible for FX/MM and Debt Securities execution for a prestigious international bank in London.
Are you a Finance / Treasury professional with a sharp analytical mind and a passion for optimising financial strategies?