Treasury Back Office Head
1 week ago
IPOE CONSULTING LIMITED is seeking an experienced Treasury Back Office Head to manage its Treasury back office. This is a key role within the company, requiring someone with excellent leadership and management skills to oversee the day-to-day activities of the team.
The successful candidate will be responsible for planning and supervising the work of the team, preparing annual appraisals, setting objectives, and recommending training for staff members. They will also be responsible for co-ordinating project work, delegating tasks as required, and ensuring that services within the department have correct procedures and competent staff able to perform duties to the required level.
The salary for this position is £100,000 - £160,000 per annum, depending on experience. We offer a range of benefits including a comprehensive pension scheme, life insurance, and a generous holiday allowance.
- This is a fantastic opportunity for someone who wants to develop their career in a dynamic and fast-paced environment.
- The successful candidate will have excellent communication and leadership skills, with the ability to work effectively in a team environment.
- A relevant qualification in finance or business administration is highly desirable.
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Central Treasury Head
1 week ago
London, Greater London, United Kingdom Tax & Treasury Recruitment Full timeWe require an experienced Central Treasury Head to lead our Centralised Treasury Function in Central London.The successful candidate will be responsible for delivering core operations processes, coaching and mentoring the Treasury Operations team, and maintaining a strong operational control environment.The ideal candidate will have excellent written...
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Back Office Treasury Expert
2 weeks ago
London, Greater London, United Kingdom Cero Generation Full time**About the Role**Cero Generation is seeking a highly skilled Back Office Treasury Expert to join our team. As a key member of our Finance department, you'll be responsible for managing our cash flow, improving efficiency in Treasury operations, and ensuring compliance with Treasury policy.You'll work closely with the Senior Treasury Manager and collaborate...
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Head of Treasury
4 weeks ago
City Of London, UK, Central London, United Kingdom Cedar Full timeHead of Treasury, PE Backed Market Leader, London, £110k + 7k Car Allowance + 25% bonus I am working with a Market Leading, Private Equity backed technology business who are looking for a Head of Treasury. This high-profile role offers the chance to manage multi-billion-pound debt facilities, optimise cash management, and shape the future of the Group's...
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Head of Treasury Operations
2 days ago
London, Greater London, United Kingdom MARKS&SPENCER Full timeJob Summary: Head of Treasury OperationsWe are seeking an experienced Head of Treasury Operations to join our team in the Head Office. The successful candidate will be responsible for leading the Treasury function, ensuring that all financial transactions are properly managed and recorded, and providing accurate financial information to stakeholders. This...
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Financial Analyst
2 weeks ago
London, Greater London, United Kingdom LMAX Group Full timeJob Overview:We are seeking an experienced Treasury Operations Specialist to join our team at LMAX Group. In this role, you will provide critical support to the Treasury department, focusing on back office processes and planning & operations.Key Responsibilities:Perform daily reconciliations of trades, broker positions, funding, and cash flows to ensure...
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Head of Treasury
2 weeks ago
London, Greater London, United Kingdom Ki Insurance Full timeKi Insurance is a leading insurance tech company that is revolutionizing the way the industry works. We are seeking a Head of Treasury to join our team and play a key role in shaping the future of our company.The successful candidate will have extensive experience in investment management and treasury operations. A comprehensive understanding of the...
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Front Office Treasury Head
2 weeks ago
London, Greater London, United Kingdom Goodman Masson Limited Full timeLeading the Way in Treasury Risk ManagementWe are seeking an exceptional Treasury Risk Manager to join our team and lead our front office treasury function. As a key member of our finance team, you will play a critical role in managing financial risks and ensuring the long-term success of our organization.Key Responsibilities:Oversee treasury dealing and...
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Treasury Manager
2 weeks ago
London, Greater London, United Kingdom ELP Consult Full timeTreasury Dealer (MAT cover, Mandarin Speaking)Job OverviewThe Treasury Dealer plays a pivotal role in managing the Bank's liquidity, risk management, and hedging activities. As a key member of the Treasury team, you will work closely with the Head of Treasury to execute strategic initiatives that drive business growth.Key Responsibilities:Update the Treasury...
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Treasury Back Office Coordinator
1 month ago
London, Greater London, United Kingdom ELP Consult Full timeKey Skills and QualificationsTo excel in this role, you'll need:Proficiency in English (writing and speaking).Strong Microsoft Office skills.Excellent organizational ability and attention to detail.Able to communicate effectively with diverse teams.Prioritize tasks efficiently and delegate when necessary.Accurate reporting skills.A team player with a...
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Head of Corporate Treasury Operations
2 weeks ago
London, Greater London, United Kingdom Empirical Search Limited Full timeJob Overview:Empirical Search Limited is seeking a highly experienced Head of Corporate Treasury Operations to join our team. The successful candidate will lead a team of Treasury professionals in managing the bank's liquidity risk through regular and accurate cashflow and liquidity reporting.The Head of Corporate Treasury Operations will be responsible for...
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Treasury Specialist
1 month ago
London, Greater London, United Kingdom ELP Consult Full timeTreasury Dealer (MAT cover, Mandarin Speaking)Job Summary:This is a maternity cover of 12-14 months. The Treasury Dealer works closely with the Head of Treasury to manage liquidity, risk, and hedging activities on behalf of the Bank.Main Responsibilities:Update treasury balances and daily positions reportsMonitor treasury limits utilization and make...
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Treasury Leader
2 weeks ago
London, Greater London, United Kingdom Empirical Search Limited Full timeJob DescriptionA key role within the Group Treasury Function at Empirical Search Limited, supporting a fast-growing, PE-owned personal lines insurance broker. The position will be backed by a small team of Treasury professionals and is responsible for assisting the Deputy Head of Treasury in developing and managing an efficient Treasury Desk.Key...
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Treasury Management Specialist
2 weeks ago
London, Greater London, United Kingdom Cedar Recruitment Careers Full time**Lead Treasury Operations for a Market Leader**A Private Equity-backed technology business is seeking a seasoned Head of Treasury to lead their treasury operations, driving growth through efficient cash management and strong banking partnerships. This exciting opportunity offers the chance to shape the future of the company's financial strategy and deliver...
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Treasury Markets Head London
1 week ago
London, Greater London, United Kingdom Checkout Group Full timeTreasury Markets Head Job DescriptionWe are seeking a highly experienced Treasury Markets Head to lead our Treasury Markets team in London. The successful candidate will have 10-15+ years of experience in managing and optimising FX and short-term interest rates in an international setup. They will be responsible for defining and implementing excess liquidity...
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Head of Treasury and Finance
3 weeks ago
London, Greater London, United Kingdom Onnec Full timeJoin Our Team as Group Head of TreasuryWe are excited to announce an opportunity for a highly motivated and experienced individual to join our group finance team as the Group Head of Treasury.As a key member of the team, you will be responsible for managing daily liquidity operations, ensuring compliance with bank loans, identifying areas for process...
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Treasury Client Solutions Officer
1 month ago
London, Greater London, United Kingdom Bank of America Full timeJob DescriptionWe are seeking a highly skilled Treasury Client Solutions Officer to join our team in London. As a key member of our Global Banking & Markets division, you will be responsible for managing and growing treasury revenue and profitability across your portfolio of global companies.Your primary focus will be on developing and maintaining strong...
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Head of Treasury Risk Management
1 month ago
London, Greater London, United Kingdom Standard Chartered Full timeAbout the JobThis is an exciting opportunity for a highly skilled individual to join our Treasury team as a Head of Treasury Risk Management. You will be responsible for driving the strategic liquidity agenda, including Funds Transfer Pricing ('FTP') and IRRBB.
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Treasury Operations Specialist
6 days ago
London, Greater London, United Kingdom LMAX Group Full timeJob DescriptionLMAX Group seeks a skilled Treasury Operations Specialist to join our team.About the JobThis role involves providing first-line Treasury support to aid back-office processes and planning & operations while ensuring risk management principles and controls are maintained.Conduct daily reconciliations of broker positions, including trade,...
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Financial Analyst for Treasury Operations
2 weeks ago
London, Greater London, United Kingdom LMAX Group Full timeJob Summary:We are seeking a highly skilled Financial Analyst to join our Treasury Operations team at LMAX Group. As a key member of the team, you will play a vital role in providing first-line Treasury support and undertaking various tasks to aid back office processes.About the Role:Perform day-to-day reconciliations of broker positions, including trade,...
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Head of Treasury Operations
2 days ago
London, Greater London, United Kingdom Onnec Full timeONNEC Group seeks an exceptional Head of Treasury Operations to lead our finance team in delivering strategic financial solutions.Key Responsibilities:Lead daily liquidity operations, ensuring efficient use of revolving credit facilities, FX transactions, and optimized cash balances.Collaborate with the Group CFO and regional finance teams to develop and...