Treasury Accounting & Reporting Jobs

Found 9 jobs
    • London, England
    • £400 - £500 per day
    • Posted 3 days ago

    Year-end tax reporting job requires a Direct Tax Manager or Senior Manager for this tax reporting year end job. Commencing at the end of November/start of December and going through to the end of February 2022, my client is looking for interim support in the year end tax reporting process. Key duties will include collating and processing data re...

    • England
    • £50000 - £60000 per annum
    • Posted 6 days ago

    We have a current opportunity for a Treasury Operations Manager for a multinational corporate. The role consists of: Day to day cash management, minimising idle cash, deploying cash as required and optimising returns on surplus cash balances Managing treasury settlements for the business including raising payments and management of the settlemen...

    • City of London, London
    • £25000 - £45000 per annum + + Bonus + Benefits
    • Posted 7 days ago

    A leading global payments platform operating in over 130 countries is looking to hire a Funding Analyst to join the Treasury team. Your role will be integral to the daily funding of 230+ partners globally; managing the working capital of the firm; supporting and improving processes within the Treasury department. Key Job Responsibilities: Managi...

    • City of London, London
    • £20000 - £35000 per annum
    • Posted 12 days ago

    Salary: £33,000 Location: Central London Brewer Morris are currently recruiting for a Accounts Receivable Assistant for an Insurance company based in London. Roles and Responsibilities : Confirming receipt of legal fees and break fees received into the operational bank accounts Creation of invoices for Intercompany recharges and legal fee invoic...

    • City of London, London
    • £55000 - £65000 per annum
    • Posted 14 days ago

    Brewer Morris have partnered with a global travel business, seeking a Treasury Manager to report directly into the Head of Treasury. The role consists of: Managing cash forecasting and providing support to the continued development of short-term cash forecasting process. Day to day management of cash balances, minimising idle cash, deploying cas...

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