Cashflow Forecasting, Permanent Jobs

Found 8 jobs
    • London, England
    • £55000 - £75000 per annum + Bonus & Benefits
    • Posted about 17 hours ago

    Brewer Morris is representing a global law firm company for the recruitment of a Treasury Accountant. This is a newly created role, that will ensure that global cash management operations are managed efficiently and effectively. Reporting into the Head of Finance, the Treasury Accountant will work closely with Internal Audit and the global Finan...

    • London, England
    • £50000 - £70000 per annum + Bonus & Benefits
    • Posted 5 days ago

    A leading consultancy firm based in Central London is looking to grow their team with a Treasury Consultant. You will have the opportunity to provide a range of treasury, cash management, systems and reporting solutions and support Corporate Treasury functions with their complex financial and treasury challenges. Key responsibilities Assisting w...

    • Watford, Hertfordshire
    • £65000 - £85000 per annum
    • Posted 5 days ago

    Brewer Morris is representing an international retail business for the recruitment of a Treasury Manager. The Manager will report into the Head of Treasury and will be responsible of managing all aspects of the cashflow forecasting for the group. Key responsibilities Assembling all cash forecasts Updating the cashflow forecasting model for the g...

    • Stratford, London
    • £50000 - £60000 per annum + Bonus & Benefits
    • Posted 7 days ago

    Brewer Morris is delighted to be working with a leading housing association based in East London. We are looking to recruit a Treasury Manager, for the fast growing organisation. The Manager will manage 3 analysts and run the treasury function on a day to day basis. This role has a number of specific responsibilities whilst being expected to res...

    • Dublin, Republic of Ireland
    • Negotiable
    • Posted 15 days ago

    Brewer Morris is currently representing a leading multinational corporate with the recruitment of their Cash & FX Forecasting Specialist to be based in Dublin, Ireland. Sitting in their global corporate treasury team this role will be responsible for creating a data driven statistical/predictive analytics enabled cash & FX forecasting tool for t...

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