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Assist the Head of Treasury with business management, trading support, liquidity risk analysis, financial analysis, risk control and project responsibilities. Conduct analysis and produce reports to assist Senior Managers' decision making.
HEAD OF TREASURY - LONDON BASED HOUSING ASSOCIATION - LONG TERM CONTRACT
TREASURY ANALYST - FTSE100 BUSINESS - UP TO £300 PER DAY
c.£60,000 - TREASURY MANAGER - £300m REVENUE COMPANY - PE BACKED BUSINESS
QUALIFIED TREASURY ACCOUNTANT - £60,000 - £80,000Apply Below
This role is perfect for a driven Senior Treasury Manager, who is ready to take on a new challenge within the property industry. The successful candidate will be part of a high-performing Accounting & Finance team, based in London.
TREASURY DEALER (FX AND COMMODITIES) - UK/WESTER EUROPE EXPERIENCE - MULTI-CURRENCY - POLISH SPEAKING
SENIOR TREASURY ANALYST - FTSE 100 - CIRCA £50,000
This role will be imperative to finance and funding from a treasury perspective.
Responsible for monitoring and managing liquidity, funding & cashflow risks, IRRBB & FTP.
Second Line of Defence (2LoD) Stress Testing Lead, focused on an international banking groups liquidity. You will support the author of the ILAAP to meet PRA requirements.
Financial Services Risk analyst.
As a Regulatory Reporting Manager, you will ensure accurate and timely regulatory returns to BoE/PRA including CoRep, FinRep & statistical return. To assist in various projects implementing business change, IT change and new regulations as well as process & MI improvements
Leading the delivery of the weekly cash forecast for the EMEA region including monitoring, understanding, accuracy and consolidation. The role will support Group Treasury on various aspects of the Group cash forecast.
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