Cash Flow Expert

2 days ago


London, Greater London, United Kingdom Global Accounting Network Full time

About the Position: Global Accounting Network is currently seeking a skilled Treasury Manager to oversee all aspects of cash flow for a leading UK-based alcohol production and hospitality company.

Main Duties:

  1. Lead the management and development of one team member
  2. Collaborate closely with senior executives to inform business strategy
  3. Develop and maintain an accurate cash flow model to support informed decision-making
  4. Analyze and forecast cash flow, ensuring alignment with organizational objectives
  5. Identify and communicate potential cash flow discrepancies, enabling proactive business responses

Why This Role:

This is a fantastic opportunity to join a dynamic organization and take on a key role in driving financial performance. With a competitive salary of £65,000 - £85,000 per annum, you'll have the chance to grow your skills and expertise while contributing to the company's success.



  • London, Greater London, United Kingdom Nium Fintech Limited Full time

    About the RoleThis is an exciting opportunity to work with a fast-growing fintech company that is at the forefront of financial technology.As a Cash Flow Optimization Expert, you will be responsible for monitoring and managing cash flow to maintain financial stability and liquidity, ensuring compliance with all relevant UK and EU regulations, as well as...


  • London, Greater London, United Kingdom Global Accounting Network Full time

    Cash Flow Expert H/FJoin Global Accounting Network as a Cash Flow Expert and play a vital role in shaping the company's financial future.In this dynamic role, you will be responsible for managing all aspects of cash flow and contributing to the company's continued success.About the CompanyA leading provider of accounting services in the UKJob DescriptionCash...


  • London, Greater London, United Kingdom Nium Full time

    Cash flow optimization is critical to the success of any business. At Nium, we need a skilled Cash Flow Optimization Expert to help us manage and optimize our financial assets within the dynamic fintech and payments industry.The successful candidate will have a strong understanding of financial markets, particularly in relation to foreign exchange (FX)...


  • London, Greater London, United Kingdom Monex Europe Limited Full time

    About the JobWe are looking for a highly skilled Cash Flow Management Expert to join our team in London. As a key member of our finance department, you will be responsible for managing customer accounts, ensuring timely billing and credit control, and maintaining accurate financial records.Key ResponsibilitiesReconcile customer accounts to ensure payments...


  • London, Greater London, United Kingdom Michael Page (UK) Full time

    As a Treasury Analyst at Michael Page (UK), you will oversee daily treasury operations and maintain precise cash flow projections. You will implement effective treasury policies and procedures, aligning them with company objectives while ensuring seamless interactions with financial service providers.

  • Cash Flow Specialist

    3 weeks ago


    London, Greater London, United Kingdom Page Personnel Full time

    Cash Flow Specialist RoleWe are seeking a highly skilled Cash Flow Specialist to join our team at Page Personnel. This role involves improving all processes and procedures, implementing cash flow and aged debt reporting, and managing the Company's Ledgers.The successful candidate will have prior experience within a similar finance role, preferably in the...

  • Cash Flow Specialist

    4 weeks ago


    London, Greater London, United Kingdom Bloomberg L.P. Full time

    Are you looking for a challenging and rewarding career in finance? Do you have experience in cash flow modeling and a passion for working with data?We are seeking a Senior Financial Analyst to join our team, responsible for researching and supporting a $12 trillion global securitized product market.The successful candidate will have 4+ years of experience in...


  • London, Greater London, United Kingdom Iwoca Ltd Full time

    Job DescriptionWe're seeking a skilled Financial Analyst to join our team. Your primary responsibility will be to analyze financial data and develop strategies to improve cash flow management.You'll work closely with our business development team to identify new opportunities and provide expert advice to clients.


  • London, Greater London, United Kingdom EquiTalent Full time

    Cash Flow Specialist Job DescriptionEquiTalent is seeking a highly skilled Cash Flow Specialist to join our team. The successful candidate will have a strong background in finance and be able to take ownership of short and long-term cash forecasting.About the Role:This is a fantastic opportunity for an experienced individual to join a leading business.The...

  • Cash Flow Analyst

    4 weeks ago


    London, Greater London, United Kingdom Jobs for Humanity Full time

    Key ResponsibilitiesWe are seeking a Cash Flow Analyst to join our Finance team at Jobs for Humanity. The successful candidate will be responsible for managing our daily cash management operations, working closely with our banking counterparties and providing recommendations based on analysis against forecast.In this role, you will execute FX and MM trades...

  • Cash Flow Manager

    4 weeks ago


    London, Greater London, United Kingdom RSM UK Full time

    Cash Flow Manager Job Description:As a key member of our National Finance Office, the successful candidate will be responsible for managing cash flow, assisting partners and portfolio holders, and providing a quality service to internal and external clients.Key Responsibilities:Manage cash flow effectively to ensure timely payment of debts.Process accounting...


  • London, Greater London, United Kingdom Robert Walters UK Full time

    A pioneering technology communications company seeks a Strategic Finance Manager to drive cash flow optimization and EBITDA growth. As a key contributor to our finance team, you will leverage your expertise to build and maintain accurate cash flow financial models, conduct in-depth analysis of working capital components, and identify potential cash flow...


  • London, Greater London, United Kingdom CMC Consulting Ltd Full time

    CMC Consulting Ltd invites applications for a Treasury Manager position, offering a competitive salary of £65,000 - £85,000 per annum. As a key member of the finance team, you will be responsible for managing daily operational treasury matters, including cash flow forecasting and liquidity management.Main Responsibilities:Cash flow forecasting and analysis...


  • London, Greater London, United Kingdom Goodman Masson Full time

    Job DescriptionWe are seeking an experienced Senior Treasury Manager to join our team in South West London. This is an exciting opportunity for a proven treasury professional to manage cash flow forecasting, compliance, and bank/lender relationships.About the RoleAs Senior Treasury Manager, you will be responsible for managing cash flow forecasts, ensuring...

  • Cash Flow Coordinator

    3 weeks ago


    London, Greater London, United Kingdom Lantum Full time

    Join Our TeamWe are seeking a highly skilled Cash Flow Coordinator to join our team in London. As a key member of our finance team, you will be responsible for managing credit control processes, actively pursuing outstanding debts, and optimising cash flow to support the company's growth.This is an excellent opportunity for a motivated and skilled individual...


  • London, Greater London, United Kingdom Tfg Brands (London) Limited Full time

    We are looking for a highly skilled Cash Flow Strategy Leader to join our finance team at TFG Brands (London) Limited. As the successful candidate, you will be responsible for developing and implementing cash management strategies to maintain corporate liquidity and financial stability.About the Role:We estimate that the salary for this role is around...

  • Cash Flow Strategist

    4 weeks ago


    London, Greater London, United Kingdom Empirical Search Limited Full time

    Key Responsibilities:Manage all aspects of the company's cash flow, including bank account management, cash forecasting, and reporting.Analyze actual performance against forecasts, identifying areas for improvement and developing effective solutions.Design, execute, and monitor cash management strategies, ensuring alignment with business objectives.Develop...


  • London, Greater London, United Kingdom Michael Page (UK) Full time

    Career OpportunityWe are looking for a highly skilled Financial Accountant to join our team at Michael Page (UK). In this role, you will be responsible for leading on cash flow monitoring, reporting and balance sheet reconciliations, developing and maintaining financial policies, controls, systems, and processes. Your key responsibilities will include...


  • London, Greater London, United Kingdom Michael Page (UK) Full time

    Unlock the Potential of a Global LeaderA global independent organization dedicated to advancing children's rights and promoting equality for girls invites applications for a Senior Treasury Manager. This is an excellent opportunity to join a leader in the non-for-profit and charity industry and contribute to unlocking the potential of every child.About Our...


  • London, Greater London, United Kingdom IDX Full time

    Job OverviewWe are looking for a Debt Recovery Expert to join our team at IDX. As a key member of our financial operations team, you will play a critical role in ensuring timely collection of all assigned invoicing and maintaining accurate debtor records.Responsibilities:Cash flow management and collection of outstanding invoicesCollaboration with internal...