Senior Treasury Manager recruitment
The Role:The candidate will be responsible in meeting the treasury objectives in the Asia Pacific region by managing debt securities and overall treasury portfolio performance and capitalizing on opportunities and risks in the market. They successfull candidate will have exclusive dealings with Senior Executive Management and must present the companys treaury perfomrance on a regular basis. The Successful candidate:Essentially is an ACA or CPA with 15 years work experience working in a finanicial instituion or the telecoms business. Knowledge of the Asian, European or American bond market Read more […]
Senior Treasury Manager recruitment
As one of the leading and fastest growing banks in the Middle East, our client is in prime position to continue their development in both the medium and long-term. In line with this global growth, they are currently looking to recruit an accomplished Treasury Manager to join their expanding Qatar office. Daily responsibilities will include:• Undertakes daily Treasury activities both internationally and locally. Ensuring maximum spread between inter bank borrowing and lending• Utilizes surplus funds to maximize potential benefit for bank (Qatar Branch). Acts as the funding arm of the bank/branch.• Knowledge Read more […]
Senior Treasury Manager recruitment
The Company A major Financial Services firm seeks to recruit a Senior Treasury Manager The Role Responsible of the day-to-day cash management of the firm whilst be able to demonstrate a clear understanding of banking processes systems Leading a team of 7-10 people Deliver Group-wide cash management structure including pooling cash concentration functionality and foreign exchange management will undertake various investment trades to cover short-term liquidity required to monitor FX and interest rates assist with the implementation of a TMS Your Profile Qualified candidates will possess Read more […]
Retail & Fashion – Senior Treasury Manager recruitment
The role requires you to manage daily funding, managing daily, weekly and monthly cash reporting processes, day to day banking relationships, monitor overseas cash, forecasting and managing interest, FX hedging and review improve existing treasury policies. The ideal candidate with have currently management experience in a treasury environment and commercial exposure. Being a qualified accountant or treasury professional would be highly advantageous. Central London Location.