Careers Seeker has searched ALL the leading UK Job Boards for Treasury Jobs and our results are displayed below. You can refine your searches until you find your ideal career. Careers Seeker update Treasury Jobs from all the UK Job Boards daily so you can search easily all in one place rather than searching 100s of Job Boards.
23rd February 2010
ACT/Solid Treasury Experience. A fantastic opportunity to work with one of the Big 4 Accountancy Practices in the capacity of Treasury Accountant, the successful candidate should have experience in reviewing treasury risk management policies, processes and controls and will have strong knowledge of UK and US GAAP. Alongside this the individual should either be a member of the Association of Corporate Treasurers or similar qualification. In return a competitive salary package is offered as well... View full details »
28th February 2010
Leading provider of SAAS Treasury and Risk solutions into the Corporate Treasury and Bank Treasury Market currently seek a new business focused Sales Executive to develop the Nordic region (Norway, Sweden, Finland and Denmark). The right candidate will be experienced selling technology solutions into Nordic Corporates or will have sold specifically Treasury solutions into a similar market / region. Any knowledge / experience of IFRS regulations exposure to vanilla or complex derivatives would... View full details »
18th March 2010
The role is a strategic hire within the product control team, as the company is looking to develop the successful candidate a long-term career. The position is based in the in the Treasury Product Control Team who support the Europe & Asia divisions for all Treasury finance functions. Provide product, accounting and financial support to the Treasury division and all other departments within the Treasury Department remit.The duties of the role include but will not be limited to:. Business... View full details »
19th February 2010
Treasury Systems Analyst £40,000 plus package Based in Croydon, South-East London Ref: IDTALENTFIN748 A global financial services provider seeks to attract a proven Treasury Systems Analyst to join an established Banking & Treasury Development team based in Croydon. You will work with multiple systems and project teams providing all internal and external customers with an excellent service and delivery. The role will include online Banking and Treasury system maintenance including production... View full details »
23rd February 2010
RoleYou will be working for this financial services firm assisting the head of Credit Risk in the Treasury department. You will be responsible for conducting the review and due diligence of the client banks, understanding the Asset Back Securities that have been invested in and dealing with all data that is coming into the treasury function and ensuring that all risks are mitigated. What We Are Looking For You will have excellent understanding of financial statement and balance sheets. You... View full details »
18th March 2010
An international property fund manager is looking for an experienced Treasury Manager to head up their treasury function. Reporting into the FD this position is heavily focused on debt raising and implementing hedging strategies. You will be responsible for a huge debt portfolio and take charge of managing bank relationships as well as cash management strategies. What the company is looking for is somebody that can enhance treasury management activities and introduce controls within the... View full details »
16th March 2010
Treasury Accountant, Middlesex - up to £22p/h. Minimum 9 month contract. Choralis Consulting is recruiting on behalf of a leading business services company based in Staines, Middlesex. The role is a maternity cover position and is a minimum 9 month contract position. As the Treasury Accountant you will be responsible for, preparing cash forecast and daily cash flow and optimisation of cash flow continually, monitoring and maintaining daily gross and net cash position, analysing and... View full details »
15th March 2010
We currently have a unique opportunity to join one of the markets most exciting Financial Services Institutions based in Edinburgh as Head of TreasuryThis is an extremely hands-on role and the successful candidate will be directly responsible for starting up and growing a new Treasury function. They must therefore be/have the following:* A strong background within Banking & Financial Services* Significant experience within Treasury at a Senior level* Experienced in setting up a Treasury... View full details »
11th March 2010
My client, a European Investment Bank, is looking to hire an experienced Treasury or Agency Trader to be based in London focusing on the US market covering interest rate cash / vanilla products.Candidates should be at the VP or Director level.This is a global trading team that has an established presence in New York and is looking to build out London. View full details »
24th February 2010
This world leader in Insurance seeks a Treasury Systems & Support Analyst. The role will be responsible for the co-ordination, delivery tracking and completion of assigned projects. You will work with multiple systems which will include on line banking and treasury system maintenance.You will have good Cash/banking experience EMEABank Internet SystemsWorking knowledge of systems including Visio & Microsoft Project.Excellent attention to detailGoodman Masson is acting as an Employment... View full details »
24th February 2010
Impressive group with a UK turnover in excess of £800m are recruiting for this new role to support the future development and continued growth of the business. Responsible for a team of three in delivering an excellent service and driving efficiencies in the group working capital and cash management. This role will be primarily focusing on financial analysis and modelling on working capital and cashflow forecasting, managing capital expenditure, maintaining 30+ bank accounts in Sterling and... View full details »
11th March 2010
Reporting into the Head of Treasury Solutions, you will Head the Treasury Sales team of approximately 10 staff. In addition to managing sales performance of the team you will also generate your own leads and acquire new business.ExperienceStrong FX and MM market & product knowledgeProven sales and marketing experienceHighly professional/articulateNatural Leader / Strong Management capabilitiesRegulatory understanding View full details »
16th March 2010
Our Client, a leading housing association, is currently recruiting for an interim Treasury Accountant, if you are immediately available and ready to secure a role with a reputable business then this is your chance. Reporting to the Group Treasury Manager the purpose of the role is to provide accounting and treasury support while having a responsibility for the daily monitoring of cash flow and maintaining the organisations banking relationships. The day to day duties of the role will include... View full details »
16th March 2010
Home Retail Group seeks to attract a Treasury Assistant to join an established Group Treasury Team. You will carry out the daily bank funding activities of the Group, provide updates on forecast vs. actual cash flow, review of bank positions to ensure efficient use of groups funds, manage the FX database and act as a day to day interface with the business. Ideally you will be a part qualified accountant, AAT, ACCA, ACT, or CIMA with well developed interpersonal skills coupled with strong... View full details »
25th February 2010
CMA has been tasked with sourcing a Treasury Analyst for this public sector organisation based in Portsmouth. The successful candidate will work with the Treasury and Business Planning Manager to manage the group's cash flow within funding parameters and minimise interest costs. Candidates will have experience of treasury management/administration within a medium sized and complex organisation as well as possessing excellent IT skills including Excel spreadsheets and experience of using a range... View full details »
13th March 2010
Treasury Assistant - Finance - Part Time Mon - Fri 9.30 - 2.30 Location: Haywards Heath, West Sussex £12,000 - £16,000 Recruiting immediately for a Part-time Treasury Assistant to work Monday Friday 9.30 -2.30 for a reputable company in Haywards Heath. You will be responsible for the day to day processing of group receipts, payments and relevant reconciliations. As well as working with the Senior Treasury Assistant ensuring the smooth running of the bank accounts and month... View full details »
13th March 2010
In 2009 my clients revenue grew every quarter and their profits were the highest in their fifteen year history. During this period, they also invested in their people, increasing their fee earner head count by 20% and their brand continued to become one of the leaders in the City. The very best in the market continue to join us for a reason. Off the back of the biggest recession in recent history, they have delivered a record breaking financial performance and have created a culture that is... View full details »
10th March 2010
Overview An outstanding opportunity for a Treasury Accountant at an innovative market leader. Ideally the successful candidate will be qualified ACT, CTA, CIMA, ACCA or ACA. About You The successful candidate will have proven treasury experience gained within a large corporate structure and ideally be qualified ACT, CTA, CIMA, ACCA or ACA. Strong technical skills and attention to detail are essential. About The Role To ensure that: Inter company loans and other Treasury directed... View full details »
16th March 2010
One of the worlds greatest banks seeks a manager to join there Capital Management team within Group Treasury. You will be responsible for managing the processes around the Groups Debt Capital Issuance and Market Risk. You will assist in evaluating Capital Issuance and funding options as well as FX and interest rate risk. An exciting broad role offering tremendous advantage to your career prospects.Key Account abilities:Experience in Global Markets and a corporate Treasury... View full details »
19th March 2010
Responsibilities: • Develop and manage Treasury strategy in support of the Group’s corporate strategy• Develop and implement liquidity risk and funding policies• Manage relationships with regulators and ratings agencies• Input to the Group’s credit risk and other treasury related policies• Implement effective cash management techniques• Maintain robust liquidity framework and manage risks relating to financing and... View full details »
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