Director of International Cash and Liquidity Management
5 days ago
We are seeking a highly skilled Director, Treasury Sales Officer, Global Payments Solutions to join our team in London. As a key member of our sales team, you will be responsible for delivering integrated treasury solutions to clients and prospects in EMEA or globally.
Key Responsibilities:
- Act as the primary relationship and sales responsibility for a portfolio of Large Corporate clients.
- Client and portfolio planning to drive responsible revenue, balance sheet growth, and profitability improvement.
Requirements:
- Demonstrated ability to foster partnerships within the core team and build rapport with client contacts.
- Strong international treasury management and working capital experience.
Benefits:
- Estimated salary range: £90,000 - £140,000 per annum.
- Opportunity to work with a global leader in the financial services industry.
-
Strategic Communications Director
5 days ago
London, Greater London, United Kingdom LIQUiDITY Group Full timeLiquidity Group is a global leader in tech-enhanced financial asset management. With $2.5B AUM across funds focused on various regions, the company operates with offices worldwide.The firm's innovative technology enables it to deploy capital efficiently, establishing it as a fast-growing provider of non-dilutive and equity financing to mid-market and...
-
Cash and Liquidity Expert
5 days ago
London, Greater London, United Kingdom Caxton Associates Full timeA career opportunity exists at Caxton Associates, a renowned global trading and investment firm, to hire a talented individual for the role of Treasury Associate. The estimated annual compensation for this position ranges from $90,000 to $135,000, depending on qualifications.The ideal candidate will possess strong expertise in cash and liquidity management,...
-
Strategic Cash Management Director
5 days ago
London, Greater London, United Kingdom Michael Page (UK) Full timeAbout Our CompanyOur client, a leading player in the property industry, operates a vast portfolio of properties in Central London. With over 1200 dedicated employees, they are committed to delivering high-quality services and meeting their financial obligations.Job OverviewThe successful candidate will lead and mentor a team of treasury professionals,...
-
Strategic Communications Director
1 week ago
London, Greater London, United Kingdom LIQUiDITY Group Full timeLiquidity Group, a leading tech-enhanced financial asset management firm, is seeking an experienced Strategic Communications Director to join its Marketing team. As a key member of the Strategy and Corporate Development function, this role will drive global and regional marketing campaigns to support the company's business objectives.The successful candidate...
-
International Cash Management Specialist
4 weeks ago
London, Greater London, United Kingdom Northern Trust Corporation Full timeAbout Northern Trust:Northern Trust is a leading financial institution with a rich history dating back to 1889. As a Fortune 500 company, we provide innovative financial services and guidance to individuals, families, and institutions worldwide.We are committed to delivering exceptional service, expertise, and integrity in all our endeavors. With over 130...
-
Community Development Director
5 days ago
London, Greater London, United Kingdom Liquidity Group Full timeAbout the PositionWe are seeking an experienced Community Development Director to join our team at Liquidity Group. As a key member of our global community, you will be responsible for creating and executing strategies that drive engagement and foster relationships with founders, investors, and partners across our key markets.The ideal candidate will have a...
-
Cash Management Expert
1 week ago
London, Greater London, United Kingdom Goodman Masson Full timeTreasury Manager Job SummaryWe are seeking a seasoned Treasury Manager to join our client's expanding team. In this role, you will be responsible for developing and implementing treasury strategies to drive business growth and profitability.The ideal candidate will have extensive experience in treasury, with a strong focus on FX management, Cash & Liquidity...
-
Cash Manager
4 weeks ago
London, Greater London, United Kingdom TFG London Full timeAbout The RoleAt TFG Brands, we are seeking a skilled Cash Manager to join our finance team. As a Cash Manager, you will be responsible for managing and optimizing our cash flow across the group, ensuring liquidity and continued growth across both the UK and international markets. Reporting to the Group Finance Operations Manager, this role is crucial to...
-
Treasury Cash Manager
4 weeks ago
London, Greater London, United Kingdom MS Amlin Ltd Full timeAbout the RoleThe Treasury Analyst will be responsible for day-to-day operational cash management, forecasting, and trade activities for assets managed by the Investment Management department at MS Amlin Ltd. This includes providing advice and support to stakeholders in banking/investment-related topics, providing support and cover for other Treasury cash...
-
London, Greater London, United Kingdom Initiate International Full timeSenior Treasury Manager Job DescriptionAbout the CompanyInitiate International is a leading mobile-first payment solutions provider, dedicated to delivering innovative financial services globally.Job Summary:We are seeking an experienced Senior Treasury Manager to join our UK team and play a pivotal role in shaping our treasury operations. As a key member of...
-
Head of Liquidity Risk Management
4 weeks ago
London, Greater London, United Kingdom Jefferies Full timeJob SummaryJefferies International Limited is seeking a highly skilled Risk Management Specialist to join the Risk Management organisation. The successful candidate will be responsible for second line liquidity risk management of trading activity outside Americas.Key ResponsibilitiesEstablish a JIL Liquidity Risk Management function as the second line of...
-
Treasury Liquidity Manager
1 month ago
London, Greater London, United Kingdom Empirical Search Limited Full timeEmpirical Search Limited is seeking a skilled Treasury Liquidity Manager to join our fast-growing Fintech team. As a key member of our Treasury team, you will be responsible for real-time and forward-thinking liquidity management, monitoring, and analysis of legal entities and regional liquidity positions.Key ResponsibilitiesMonitor and analyze liquidity...
-
Treasury Vice President of Cash Management
2 weeks ago
London, Greater London, United Kingdom Carnegie Consulting Full timeCarnegie Consulting is a leading provider of consulting services to the financial industry, and we are seeking an experienced Treasury Vice President of Cash Management to join our team.As a key member of our Global Private Market's treasury function, you will play a critical role in establishing the treasury infrastructure required for our newly created...
-
Treasury Cash Manager
2 weeks ago
London, Greater London, United Kingdom Michael Page Full timeCash and Liquidity ManagerThis role offers the opportunity to manage and optimize global cash operations, lead cash-flow forecasting, and execute strategic investments within a dynamic FTSE 30 Treasury team. You'll drive process improvements, collaborate with key business stakeholders, and contribute to the transformation of the company treasury...
-
Liquidity and Treasury Associate
4 weeks ago
London, Greater London, United Kingdom PIMCO Full timeJob Title: Liquidity and Treasury AssociateAbout the Role:The European Cash Desk at PIMCO is responsible for managing cash and liquidity for clients with portfolio managers based in Europe, Asia, and Australia. Our team works closely with the Portfolio Management group to determine cash and liquidity requirements, and we work together to either invest excess...
-
Treasury Cash Management Specialist
1 month ago
London, Greater London, United Kingdom Michael Page (UK) Full timeAbout Our ClientMichael Page (UK) is seeking a skilled Treasury Cash Management Specialist to join their team. This is a 12-month contract opportunity that will allow you to focus on cash management and daily operations.Key Responsibilities:Daily cash management and ensuring cash and liquidity are monitored and within treasury guidelinesMaintenance of...
-
Funding and Liquidity Manager
4 weeks ago
London, Greater London, United Kingdom Close Brothers Group Full timeAbout the RoleThis is an exciting opportunity to join Close Brothers Treasury division as a Funding and Liquidity Manager. In this role, you will be responsible for producing the Group and Bank ILAAP documents and creating and owning the Bank's Funding Plan and internal assessment of required liquidity holdings.Main ResponsibilitiesFunding and Liquidity:...
-
Cash Management Solutions Specialist
5 days ago
London, Greater London, United Kingdom Barclays UK Full timeJob SummaryWe are seeking a highly skilled Cash Management Solutions Specialist to join our team at Barclays UK. This is an exciting opportunity for a talented individual to play a key role in delivering innovative cash management and liquidity solutions to Non-Bank Financial Institution (NBFI) clients.About the RoleThe ideal candidate will have a deep...
-
Cash Management Associate
1 month ago
London, Greater London, United Kingdom PIMCO Full timePosition OverviewThe European Cash Desk is a key component of PIMCO's global cash management team, responsible for projecting and optimizing cash/liquidity in all client accounts with portfolio managers based in Europe, Asia, and Australia. This role will focus on ensuring the accuracy of cash figures for the investment desks, working closely with the...
-
Cash Management Expert
5 days ago
London, Greater London, United Kingdom Michael Page (UK) Full timeAbout the RoleMichael Page (UK) is seeking a highly skilled Treasury Operations Specialist to join their team. This is a 12-month fixed-term contract with potential to be made permanent.This exciting opportunity will allow you to focus on cash management and daily operations, ensuring that cash and liquidity are monitored and within treasury guidelines.The...