Senior Finance Manager London (predominantly remote) Full-time (4 days a week considered for a senior hire..., they are looking for an experienced, hands-on Senior Finance Manager to take ownership of the day-to-day finance function and support central operations...
learning of market and industry supported (treasury, payments, cash management, risk management, working capital... with cloud-based treasury, payments, and risk management solutions. We serve 3,000+ customers worldwide, managing $15 trillion...
We’re looking for a Senior Manager, Corporate Tax Strategy to join us in Chelsea, London. We are seeking a highly... / WHT / CIR / DPT supporting documentation preparation and assessments, as allocated to your portfolio. Cash tax...
. The Finance Manager will oversee accounts receivable, accounts payable, payroll, treasury, and cash management activities... controller and group finance manager. Maintain and administer the groups physical and virtual credit cards. Treasury - approve...
. Job Description The role Checkout.com is looking for a strategic, resourceful, and highly-driven Process Architecture Manager to lead... Partner with senior Finance leaders (AP, Treasury, Tax, Accounting) to identify critical operational bottlenecks...
sheet and bank reconciliations and cash flow forecasts Supporting treasury, tax and VAT compliance with external advisers...Group Finance Manager Location: London (Head Office) Contract: Permanent | Full Time Working Hours: Mon - Fri. 4...
for our current Finance Manager in our cobalt metal business within our growing recycled metals business. Reporting into Tangent.... This will involve daily cash management both internally and externally, ensuring accurate processing in the CTRM system, responsibility...
Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term... capabilities in investment grade private credit. Job Title: BXCI – BXCI FX & FI Derivatives Hedging Risk Manager...
relationships including auditors Cash flow management, further developing the cash flow forecasts, and managing the treasury...Group Finance Manager Business Services sector – PE backed London (hybrid 1-2 days) Circa...
and internal controls. Oversight of cash and treasury management across all group entities; Review and authorisation of payment...Goodman Masson are searching for a Group Finance Manager to join a recently established, global Private Equity firm...
. Treasury & FX Monitor weekly and monthly UK cash balances, ensuring sufficient liquidity to meet operational and intercompany...KennedyPearce are hiring a Finance Manager for a consulting business based in London. This is a full-time permanent...
will oversee accounts receivable , accounts payable, payroll, treasury, and cash management activities, while driving continuous... controller and group finance manager. Maintain and administer the groups physical and virtual credit cards. Treasury – approve...
Receivable, Treasury, and cash management processes. Proven experience managing high-volume, multi-currency invoice processing... of sales invoices, proactive debt chasing, and accurate cash allocation. Prepare cash flow forecasts and align payment runs...
to the Head of Tax and Treasury, you will have ownership of day-to-day international tax risk management and operational... on international tax advising on internal rationalisations/restructures, new markets or products and cash repatriation strategies...
auditors Treasury management including debt reporting to the Board, short-term cash forecasting, debt and cash management... that are responsible for Statutory Reporting, Treasury including retail accounting, Accounts Payable and Credit Control. In addition the...
enterprises with the transfer pricing considerations relevant for loans, cash pooling, guarantees, hedging arrangements, trade... finance and Treasury functions. We work with clients across the transfer pricing lifecycle, supporting with the design...
expertise including commercial and operational due diligence, sale and purchase agreement negotiation, real estate, treasury..., cash flow and balance sheets Review and analysis of projections, and underlying assumptions Review of the adequacy...
, real estate, treasury, pensions, modelling, fund placement, merger integration, IT and business intelligence. We also often... target business Review and analysis of historical trading, cash flow and balance sheets Review and analysis of projections...
Treasury Dept. for timely payments to suppliers ▪ Develops processes and tools for accounting together with HQ across the... commercial team ▪ Perform timely and accurate cash flow forecasts ▪ Check the accurate recording of VAT and assist HQ SSC...
to wholesale and treasury payments, Continuous Linked Settlements ("CLS"), commercial payments, foreign drafts and cash letters... to ensure seamless cross-border payments, treasury settlements and liquidity management. Accountabilities include...