Head of International Treasury and Risk
6 days ago
Welcome to the Head of International Treasury and Risk role at Marc Daniels, where you will spearhead the development and execution of treasury strategies that align with the company's broader goals. As a seasoned professional, you will oversee foreign exchange risk management, cash flow optimization, and operational excellence across global markets.
Job Description- Foreign Exchange Management: Design and implement effective foreign exchange risk management strategies, mitigating exposure to currency fluctuations.
- Cash Flow Analysis: Conduct thorough analyses of global cash flows, identifying opportunities to optimize liquidity and minimize risks.
- Treasury Process Improvement: Drive process improvements and leverage technology to enhance treasury operations, ensuring seamless integration with finance, tax, and business teams.
- Team Leadership: Lead a talented team of treasury professionals, fostering a collaborative culture that promotes innovation and exceptional results.
An attractive annual salary of $160,000-$220,000 reflects the importance of this role in driving the company's treasury strategy forward, acknowledging the expertise required to excel in this position.
-
Head of Treasury Risk Management
1 month ago
London, Greater London, United Kingdom Starling Bank Full timeAbout the RoleWe are seeking a highly skilled Head of Treasury Risk Management to join our team at Starling Bank. As a key member of our 2nd line risk function, you will be responsible for overseeing and challenging Market Risk, predominantly Interest Rate Risk in the Banking Book (IRRBB), as well as FX and credit spread risk.You will work closely with the...
-
Head of Treasury Risk Management
6 days 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.
-
Global Treasury Expert
3 weeks ago
London, Greater London, United Kingdom Initiate International Full timeTreasury Leadership OpportunityAbout Initiate International: An innovative leader in mobile-first payment solutions, expanding its UK presence.As a Senior Treasury Manager, you will be instrumental in refining our treasury functions, driving cash management efficiency, and managing FX risks.Key Responsibilities:Collaborate with the Head of Treasury to design...
-
Senior Treasury Manager
1 month ago
London, Greater London, United Kingdom Initiate International Full timeSenior Treasury ManagerInitiate International is seeking a seasoned Senior Treasury Manager to lead its expanding UK team. This role will focus on refining the company's treasury functions, driving cash management efficiency, managing FX risks, and implementing strategic financial policies tailored to a global scale.Key Responsibilities:Collaborate with the...
-
Global Treasury Leader
1 week ago
London, Greater London, United Kingdom Initiate International Full timeAbout the RoleWe are seeking a seasoned Senior Treasury Manager to lead our treasury functions in the UK, focusing on refining cash management efficiency, managing FX risks, and implementing strategic financial policies tailored to a global scale.Key Responsibilities:Establish a robust treasury function by collaborating with the Head of Treasury,...
-
Senior Treasury Manager
1 month ago
London, Greater London, United Kingdom Initiate International Full timeSenior Treasury ManagerInitiate International is seeking a highly skilled Senior Treasury Manager to join its expanding UK team. This role will focus on refining the company's treasury functions, driving cash management efficiency, managing FX risks, and implementing strategic financial policies tailored to a global scale.Key Responsibilities:Establish a...
-
Senior Treasury Manager
1 month ago
London, Greater London, United Kingdom Initiate International Full timeJob DescriptionInitiate International is seeking a highly skilled Senior Treasury Manager to join its expanding team. This role will focus on refining the company's treasury functions, driving cash management efficiency, managing FX risks, and implementing strategic financial policies tailored to a global scale.Key Responsibilities:Collaborate with the Head...
-
International Tax and Treasury Leader
4 weeks ago
London, Greater London, United Kingdom Broadgate Search Ltd Full timeAbout the Role:We are seeking a highly skilled International Tax and Treasury Director to join our dynamic finance function at Broadgate Search Ltd. As a key member of our team, you will be responsible for managing the group's international tax and treasury matters, ensuring compliance with all relevant regulations.Your Key Responsibilities:Oversight of...
-
Treasury Manager
1 month ago
London, Greater London, United Kingdom Empirical Search Limited Full timeJob SummaryThe Corporate Treasury Manager will play a key role in building a central Treasury function within a complex and rapidly growing group structure. This role will support the Deputy Head of Treasury and a small team of Treasury professionals in managing the daily operational activity of the Group Treasury.Key ResponsibilitiesManage daily cash...
-
Senior Treasury Risk Manager
3 weeks ago
London, Greater London, United Kingdom Robert Walters UK Full timeAbout the RoleWe are seeking a seasoned Internal Auditor to join our Treasury audit team at Robert Walters UK. The ideal candidate will have a professional or industry-recognized risk or accounting qualification and strong internal audit skills focusing on Treasury, Liquidity Risk Management, and Asset Liability Management.The successful candidate will be...
-
Treasury Accountant
1 month ago
London, Greater London, United Kingdom Empirical Search Limited Full timeTreasury Accountant Job DescriptionThis is a permanent position to support the treasury team in developing and maintaining treasury systems, processes, and reporting. The role involves managing cash positions, investments, and financial risks within agreed risk appetite and policies.Key ResponsibilitiesManage daily bank and cash position reports, including...
-
Senior Treasury Strategist
6 days ago
London, Greater London, United Kingdom Empirical Search Limited Full timeA senior role in the Group Treasury Function of a fast-growing, PE-owned, personal lines insurance broker. Estimated salary: £80,000 - £120,000 per annum.The position supports the Head of Treasury in delivering large strategic initiatives for the group. Topics can include debt structuring, group investment management, market risk management, IT...
-
Treasury Specialist
1 month ago
London, Greater London, United Kingdom ELP Consult Full timeTreasury Dealer (MAT cover, Mandarin Speaking)Job SummaryThis is a maternity cover of 12-14 months, expected to start in July 2024.The Treasury Dealer works with the Head of Treasury to price and execute the liquidity, risk management and hedging activities on behalf of the Bank.Main Responsibilities: Update the Treasury Nostro Balances and Daily positions...
-
Treasury Risk Management Leader
6 days ago
London, Greater London, United Kingdom Empirical Search Full timeEmpirical Search is seeking an experienced Treasury Risk Management Leader to join their team in the City of London.As a key member of the BSM pillar, you will lead a team of 3 Treasury professionals focusing on 1st line liquidity and wholesale credit risk management. This is an exciting opportunity to contribute to the Bank's growth plan and play a critical...
-
Treasury Strategist
2 weeks ago
London, Greater London, United Kingdom PRO-TAX RECRUITMENT LIMITED Full timeFor a global organisation, we are seeking an experienced Corporate Treasurer to lead all aspects of treasury policy, processes, controls, analysis, and investment strategy. This role will also oversee cash management, financing and investment activities, internal controls, risk management, and loss prevention.Main Responsibilities:Develop strategic...
-
Treasury Associate
1 month ago
London, Greater London, United Kingdom British International Investment Full timeAbout the RoleThe Treasury team at British International Investment is responsible for the effective and efficient cash management of approximately £800 million spread over various currencies and countries. As a Treasury Associate, you will be working with the team to design and carry out data analysis for use by the Executive Committee and the Board in...
-
London, Greater London, United Kingdom HM TREASURY-1 Full timeAbout the RoleWe are seeking a highly skilled Cyber Security Assurance professional to join our team at HM Treasury. This is an exciting opportunity to work at the heart of Government, protecting HMT network systems and customer data against cyber threats.Key ResponsibilitiesSupport the Head of Cyber Security and Technology Risk in identifying weaknesses and...
-
Head of Market Risk Management
1 month ago
London, Greater London, United Kingdom Wise Full timeAbout the RoleWe are seeking a seasoned Market Risk professional to join our team as Head of Market Risk Management. This is a critical role that will oversee the development and implementation of our market risk management framework, ensuring that our Treasury activities are aligned with our risk appetite and regulatory requirements.Key...
-
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...
-
Treasury Risk Management Specialist
6 days ago
London, Greater London, United Kingdom 0840 Deutsche Bank Aktiengesellschaft, Filiale London Full timeAbout the RoleWe are seeking a highly skilled Treasury Risk Management Specialist to join our team in London. As a key member of our audit team, you will be responsible for executing day-to-day operational audit work and contributing to the delivery of audits related to liquidity risk management, liquidity reporting, capital management, and interest rate...