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PART/QUALIFIED ACCOUNTANT - TREASURY EXPERIENCE - CIRCA £60K
To ensure the Group's financial model is kept up to date and reflects the Board's assumptions and growth ambitions. Work with Development, Sales, Strategic Asset Management and Treasury to ensure the 30-year financial plan contains the requisite information and is properly stress-tested and meets regulatory requirements. Support the Group's development and investment programme by providing commercial and financial expertise to the DSM team.
This Treasury Manager role primarily focuses on managing the company's cash flow, liquidity, credit, and risk management. The successful candidate will be instrumental in developing financial strategies and handling financial transactions. Hedging experience is valued.
This is an outstanding opportunity for an Audit & Accounts Supervisor to take the reins in a professional services firm, in the Audit & Accounts department, and provide leadership to a team whilst delivering the highest quality service to a range of clients.
The Senior Treasury Accountant is a key figure in managing financial risks and optimising the company's liquidity in the thriving Energy & Natural Resources industry. They will be managing and coordinating treasury operations, cash management, and financial risk assessments for our established company based in London.
This role requires a keen Capital Accountant who will excel in the Property sector, they will be an integral team member, contributing to the overall success of the company. The two main facets of this role will be development finance / project accounting and financial modelling.
This position requires a motivated Treasury Analyst to join a leading FMCG company's Treasury team. The successful candidate will be responsible for elements of business partnering, internal & external financing, cash management, working capital and governance, controls & reporting.
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