Cash and Risk Management Professional
7 days ago
As a Treasury Accountant at Howden Group, you will be part of a dynamic team responsible for supporting HGH Group cash and risk management projects and operations.
The successful candidate will have experience working in a group treasury or finance function, with prior exposure to in-house banking. They will also be Part qualified/ finalist through ACCA, CIMA or ACA, and possess advanced abilities in using Microsoft Excel as an analysis tool.
We estimate that this role comes with a salary of around £45,000 - £60,000 per annum, depending on experience.
About the Role- This is a full-time position based in our Central London office, but with flexibility to work remotely.
- Responsibilities include engaging with various stakeholders, such as HR, Equity Modelling, Finance, Legal and other business heads, to ensure all stakeholder loan reporting needs are met.
- You will also be responsible for leading WACOD calculations to support Corporate Finance activity, improving cash visibility by developing and managing a single list of bank accounts in the TMS, and engaging global banking population to report by SWIFT to the TMS.
-
Cash and Risk Management Professional
3 days 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 Handling Professional
23 hours ago
London, Greater London, United Kingdom No1 Legal and Professional Full timeJob OpportunityWe are looking for a highly skilled Cash Handling Professional to join our team. In this role, you will be responsible for managing cash handling operations, including receipting and banking of client monies, processing and reconciling daily transactions, and preparing and submitting VAT returns.Key Requirements:Experience in cash handling...
-
Cash and Risk Manager
4 weeks ago
London, Greater London, United Kingdom Allen & Overy Full timeAllen & Overy seeks a Cash and Risk Manager to join its Treasury team in London. This role comes with a salary of approximately £92,000 per annum.About the TeamThe successful candidate will be part of a dynamic Treasury team that provides high-quality financial advice and guidance to support the firm's short and long-term planning objectives. Key...
-
Cash Management Professional
1 day ago
London, Greater London, United Kingdom Cedar Full timeAbout Our CompanyCedar is a leading organization in the finance sector, seeking a skilled professional to join our team as an Accounts Receivable Specialist.Compensation PackageWe offer a highly competitive salary of £33,000 per annum, reflecting the importance of this role in our organization.Job RoleThis position entails supporting the timely and accurate...
-
Cash and Risk Management Lead
1 day 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...
-
Cash Management Professional
3 days ago
London, Greater London, United Kingdom Goodman Masson Full timeGoodman Masson is looking for a highly skilled Cash Management Professional to oversee client relationships and provide support for cash management, supply chain finance, and forfaiting activities for corporate and financial institution clients.Job Description:Client Relationship Management: Be the key contact for clients, guaranteeing efficient handling of...
-
Risk Management Professional
12 hours ago
London, Greater London, United Kingdom LexisNexis Risk Solutions Full timeRisk Management OpportunityLexisNexis Risk Solutions is seeking a skilled Risk Management Professional to join our team as a Data/Fraud Analyst.In this role, you will play a critical part in identifying and mitigating risks associated with fraudulent activities.The successful candidate will have a deep understanding of data analysis techniques and tools,...
-
Cash and Risk Specialist
1 day 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 and Risk Specialist
3 days 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 Management Professional
1 day ago
London, Greater London, United Kingdom TFG Full timeThis is an exciting opportunity for a skilled Financial Manager to join our finance team at TFG Brands. Reporting to the Group Finance Operations Manager, this role is critical to maintaining the financial health and operational efficiency of the company.Job DescriptionManage and oversee the Group Treasury Team, ensuring effective operations.Develop and...
-
Risk Management Professional
3 weeks ago
London, Greater London, United Kingdom LexisNexis Risk Solutions Full timeJob Overview:Fraud Data Analyst (Russian-speaking) Position at LexisNexis Risk SolutionsWe are looking for a highly motivated Fraud Data Analyst to join our team in London. As a key member of our risk management team, you will be responsible for analyzing complex fraud cases, identifying patterns, and making recommendations to reduce risk.**About the...
-
Cash Operations Expert
1 day 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...
-
Risk Management Cash Transport Specialist
4 weeks ago
London, Greater London, United Kingdom NCR Atleos Corp Full timeNCR Atleos Corp, a leader in financial access solutions, is expanding its team of dedicated professionals who optimize branch operations, improve efficiency, and enhance customer experience for global clients. Our 20,000 employees worldwide strive to deliver exceptional service and maximize self-service availability.The estimated annual salary for this role...
-
Director of Cash and Risk
2 weeks ago
London, Greater London, United Kingdom Onnec Full timeDirector of Cash and Risk Management OpportunityWe are seeking a seasoned financial expert to take on the challenging role of Group Head of Treasury within our group finance team.This key position involves managing daily liquidity operations, ensuring compliance with bank loans, optimizing cash balances, and developing strategies for financing and interest...
-
Treasury Manager
4 weeks ago
London, Greater London, United Kingdom Marc Daniels Full timeServe as Treasury Manager - Global Risk and Cash Management at Marc Daniels, leading a team that drives strategic decisions on foreign exchange, hedging, and cash management. You will oversee the implementation of efficient processes, ensuring timely payments and minimizing risks associated with international transactions.Key ResponsibilitiesFX and Hedging...
-
Senior Manager of Risk and Cash Optimization
3 days ago
London, Greater London, United Kingdom Marc Daniels Full timeWe are seeking a highly skilled treasury professional to join our team at Marc Daniels. As a Global Treasury Strategist, you will be responsible for driving strategy and operational excellence across global operations.Main ResponsibilitiesTreasury Strategy: Develop and implement a comprehensive treasury strategy that aligns with the company's overall...
-
London, Greater London, United Kingdom Janus Henderson U.S. Full timeJob OverviewWe are seeking a skilled Treasury Analyst to join our team at Janus Henderson U.S. in London. As a key member of our treasury department, you will play a critical role in managing cash positions, forecasting financial outcomes, and mitigating risks associated with global currency fluctuations.Key ResponsibilitiesCash Forecasting: Engage in...
-
Risk and Compliance Professional
3 days ago
London, Greater London, United Kingdom Audit & Risk Recruitment Full timeAbout the RoleThe Audit and Control Specialist will be responsible for overseeing the identification, assessment, and mitigation of IT-related risks within the organisation. This includes developing and implementing IT risk management and control frameworks, ensuring robust internal controls, and maintaining compliance with regulatory requirements.The ideal...
-
Software Development Professional
2 months ago
London, Greater London, United Kingdom Risk Management Solutions Full timeAbout the OpportunityWe are seeking a talented software development professional to join our team at Risk Management Solutions. As a Software Engineer, you will play a key role in designing and developing our risk analytics and reporting solution for the pensions and investment market.Key ResponsibilitiesDesign and develop enterprise web applications using...
-
Cash Management and Risk Analyst
3 days ago
London, Greater London, United Kingdom Cero Generation Full time**Job Description**Cero Generation seeks a skilled Treasury Finance Specialist to join our dynamic 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 have the opportunity to work closely with the Senior Treasury...