Cash and Risk Management Executive
2 weeks ago
About the Role
">This exciting role is an integral part of the Division's Investment Department and is responsible for the division's liquidity and foreign currency management, and bank relationships.
The successful candidate will play an important part in a high-performing team within AXA XL Global Treasury, which drives process efficiency leveraging the latest technology.
Key Responsibilities:
- ">
- Manage internal and external stakeholders with a focus on projects that drive process efficiency.
- Provide thought leadership on Treasury-related management reporting and broader cash-related analytics.
- Drive adoption of new technology and treasury products to support efficiency and accuracy in Treasury analytics.
- Manage relationships with key banking partners (mainly but not solely in the EU and APAC regions).
-
Cash Management Executive
2 weeks ago
London, Greater London, United Kingdom Kingfisher plc Full timeJob SummaryWe are seeking an experienced Cash Management Executive to join our team as Assistant Treasurer (Treasury Operations). This role will be responsible for the efficient management and reporting of day-to-day Treasury operational activity, global cash management, and all operational banking.The successful candidate will have substantial experience...
-
Cash and Risk Expert
1 week ago
London, Greater London, United Kingdom JSS Search Full timeWe are seeking an accomplished Cash and Risk Expert to join our JSS Search team in London. As a crucial member of the team, you will be responsible for various critical functions, including cash flow forecasting, financial risk management, and treasury policy development.Your key responsibilities will include:Crafting and implementing comprehensive cash flow...
-
Cash Management Executive
1 week ago
London, Greater London, United Kingdom Undisclosed Full time**Role Summary**The Treasury Risk Manager will be responsible for managing the Group's cash management structures and relationships with core transactional banks, while also enhancing financial resilience, strengthening compliance and controls, driving efficiency and automation, and fostering cross-functional collaboration.Key Responsibilities:Manage the...
-
Director of Cash and Risk
1 week ago
London, Greater London, United Kingdom NALA Full timeNala - A Leading Fintech CompanyWe are seeking a seasoned Director of Cash and Risk to join our team at NALA. As the head of treasury, you will be responsible for developing and implementing treasury policies and procedures to ensure efficient cash management and liquidity.The ideal candidate will have a strong background in treasury management, financial...
-
Cash and Risk Management Professional
2 weeks ago
London, Greater London, United Kingdom The Emerald Group Full timeRisk Management and Cash Visibility ExpertThe Emerald Group is seeking a Cash and Risk Management Professional to join our team in London. In this role, you will work closely with colleagues across the business to develop and implement strategies for managing cash and risk.Your key responsibilities will include managing loan portfolios, improving cash...
-
Cash Management Executive
2 weeks ago
London, Greater London, United Kingdom Undisclosed Full timeUndisclosed seeks a skilled Treasury Risk Manager to join their Treasury Cash, Operations and Risk team. In this role, you will manage the Group's cash management structures and relationships with core transactional banks, risk reporting and control, and governance framework.Key responsibilities include enhancing financial resilience by identifying and...
-
Cash Management and Risk Professional
1 week ago
London, Greater London, United Kingdom Initiate International Full timeJob DescriptionWe are seeking a highly skilled Senior Treasury Manager to join our expanding UK team. This role will focus on refining our treasury functions, driving cash management efficiency, managing FX risks, and implementing strategic financial policies tailored to a global scale.Duties and ResponsibilitiesCollaborate with the Head of Treasury to...
-
Director of Cash and Risk Management
7 days ago
London, Greater London, United Kingdom Checkout Full time**Job Title:** Director of Cash and Risk ManagementWe are seeking an experienced professional to fill the role of Director of Cash and Risk Management. This position will be responsible for overseeing our company's cash and risk management operations, including managing foreign exchange risks and optimizing liquidity strategy.The ideal candidate will have a...
-
Cash Management Strategist
6 days ago
London, Greater London, United Kingdom Cint AB Full timeKey ResponsibilitiesThe Treasury Director will be responsible for managing Cint's global cash flow, liquidity, and financial risk management functions. This includes developing and executing strategies to mitigate financial risks, establishing and maintaining robust treasury policies and procedures, and providing regular reporting on cash flow, liquidity,...
-
Cash and Risk Specialist
2 weeks ago
London, Greater London, United Kingdom ENGINEERINGUK Full timeJob DescriptionThe Finance Business Partner will play a key role in supporting the EngineeringUK Treasury function by providing expert advice and guidance on cash management, investment management, and counterparty credit risk monitoring.ResponsibilitiesThe successful candidate will be responsible for:Oversight of the BBC's group-wide daily cash management...
-
Cash and Risk Management Lead
2 weeks ago
London, Greater London, United Kingdom JSS Search Full timeSenior Financial Strategist - London Job OpeningWe are currently recruiting for a Treasury Operations Director to join our client's team in London. The successful candidate will play a crucial role in developing and implementing cash flow forecasting models, managing financial risks, and designing treasury policies.This is a demanding role that requires...
-
Senior Cash Flow Manager
2 weeks ago
London, Greater London, United Kingdom Apex HR Consulting Full timeAbout the OpportunityWe are excited to offer an exceptional opportunity for a Senior Cash Flow Manager to join our team at Apex HR Consulting.Job Description:The Senior Cash Flow Manager will play a key role in managing liquidity, optimizing cash flow, overseeing trading operations, and implementing risk management strategies. This is a challenging and...
-
Cash and Risk Specialist
2 weeks ago
London, Greater London, United Kingdom Empirical Search Limited Full timeEmpirical Search Limited is seeking a highly skilled Cash and Risk Specialist to join our team.About the JobThis is a permanent position that offers a competitive salary of £70,000 - £90,000 per annum and opportunities for career growth.Key ResponsibilitiesYou will be responsible for managing cash and funding requirements, including placing excess funds in...
-
Cash Management Specialist
2 weeks ago
London, Greater London, United Kingdom Keoghs Full timeWe are seeking a highly skilled Treasury Director to lead our global treasury operations at Sinclair, a leading medical aesthetics organization. The successful candidate will be responsible for managing cash forecasting, liquidity planning, and FX risk management.Main Responsibilities:Cash Forecasting: Develop and maintain accurate global cash flow forecasts...
-
Treasury and Cash Risk Management Expert
2 weeks ago
London, Greater London, United Kingdom ZipRecruiter Full time**Job Overview**We are seeking a highly skilled Treasury and Risk Manager to join our team at ZipRecruiter. This role is responsible for managing the Group's cash management structures, risk reporting, and control framework.The ideal candidate will have strong technical knowledge of treasury operations and be able to build effective relationships with...
-
International Cash Manager
3 weeks ago
London, Greater London, United Kingdom CV-Library Full timeCV-Library is seeking an International Head of Treasury to lead their London-based treasury team. This role offers a unique opportunity to develop and implement effective foreign exchange risk management strategies and optimize global cash flow. Estimated salary: £160,000 - £200,000 per annum.About the JobThis is a key leadership position that requires a...
-
MBS Risk Management Executive
3 days ago
London, Greater London, United Kingdom JMD Reg Consultancy LTD Full timeMBS Risk Management Executive Job RoleThis executive-level position is responsible for overseeing the identification, assessment, and management of risks associated with hedge funds' US mortgage trading activities. The ideal candidate will have extensive experience in MBS, credit risk, and liquidity risk management.Key Responsibilities:Development and...
-
Cash Operations Expert
2 weeks ago
London, Greater London, United Kingdom Millennium Management LLC Full timeJob OverviewWe are seeking a Cash Operations Expert to join our team at Millennium Management LLC.Job Summary:The successful candidate will be responsible for maintaining cash management systems, investigating discrepancies, and reconciling daily cash wire data.Key Responsibilities:Maintain accurate records of cash transactions.Collaborate with internal...
-
Senior Cash Management Specialist
2 weeks ago
London, Greater London, United Kingdom Cint AB Full timeCint AB, a pioneering company in research technology, is seeking a highly experienced Senior Cash Management Specialist to join its team. This role offers an exciting opportunity to develop and implement effective cash management strategies, driving business growth and success.About the JobThe successful candidate will have at least 10 years of progressive...
-
Director of Cash Management and FX
2 weeks ago
London, Greater London, United Kingdom Goodman Masson Full timeJob Title: Assistant TreasurerEstimated salary: £70,000 - £90,000 per annum.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.The successful candidate will work with the Head of Treasury on a range of strategic initiatives for...