Reference: NFP014312-RDL-2 Join our dynamic Treasury and Market Risk team, where finance meets innovation success Job Description: Your position is part of Treasury & Market Risk, a team of experts working together they need to manage their change-journey throughout its lifecycle, so that change is managed harmoniously designing and implementing risk management and trading systems, Treasury, and measuring and improving risk audits, and comply with risk management processes Work closely with risk managers and senior analysts Participate
Treasury and Financial Reporting Manager: This role will work directly with the Group group treasury environment preferred but not essential
Passionate about financial management and calculations for the Group
Daily and monthly treasury related functions and ad-hoc requirements
Authorisation reporting
Financial analysis and review of management accounts
Involved with the annual external ad-hoc projects relating to group reporting and treasury related matters.
Qualifications
Reference: NFC021932-ESR-1 Calling all Treasury Risk and Banking Coordinators (18 month contrat My client the treasury team, ensuring seamless banking operations across our global network. You will manage relationships relevant regulations. Duties: Ensure compliance with Treasury policies Assist with internal and external audit
the treasury team, ensuring seamless banking operations across our global network. You will manage relationships
their industry requires the services of a seasoned treasury analyst. If you are ready to be part of something their industry requires the services of a seasoned treasury analyst. If you are ready to be part of something something big and exciting – send that resume You will manage the company's cash flow by minimising net interest costs, maintaining bank mandates, managing the company's cash management system, taking responsibility for operational banking arrangements, standardise treasury related processes including intra-group loans
You will manage the companys cash flow by minimising net interest costs, maintaining bank mandates
mandates, managing the companys cash management system, taking responsibility for the group's operational
operational banking arrangements, standardise treasury related processes including intra-group loans, and operational
facilities, ensuring regular reporting on all treasury deliverables.
Skills &
to detail
Understanding of cash management and risk management
Qualification:
Reference: NFP014312-RDL-2 Join our dynamic Treasury and Market Risk team, where finance meets innovation success Job Description: Your position is part of Treasury & Market Risk, a team of experts working together they need to manage their change-journey throughout its lifecycle, so that change is managed harmoniously designing and implementing risk management and trading systems, Treasury, and measuring and improving risk audits, and comply with risk management processes Work closely with risk managers and senior analysts Participate
Act)
Financial Analysis and reviewing of management accounts
Corporate Governance and reporting calculations
Responsible for daily and monthly treasury related functions
Forecasting and Budgets
Reference: NFC021932-ESR-1 Calling all Treasury Risk and Banking Coordinators (18 month contrat My client the treasury team, ensuring seamless banking operations across our global network. You will manage relationships relevant regulations. Duties: Ensure compliance with Treasury policies Assist with internal and external audit
The Treasury Analyst Assistant will provide business support for aspects relating to Cash Management Management, Forex Management and Exchange Control.
Domestic Cash Management
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Foreign Currency Cash Management
Foreign payments