Search Results: 646 vacancies
...Job Summary
The Senior Treasury Officer receives payment by cash, check, credit cards, vouchers, or automatic debits. Issues receipts, refunds, credits, or change due to customers. Receives and disburses cash and checks and maintains proper recording of cash transactions...
...Job Summary
The Treasury Officer is responsible for Accounting and Administration of the day to day treasury operations and reporting to Treasury Manager including maintain and monitoring the bank related activities. The role will support the compliance and banking...
...Job Summary
Responsible for reporting and administration of the day to day treasury operations and reporting to the Group Head of Treasury. This position assists the Treasury team in executing all treasury activities, in the financial planning and analysis in the...
...The Treasury Sales Manager will be responsible for delivering Treasury products to the bank’s customers and manage business performance, profitability, customer acquisition, management and retention of customers in line with the internal policies and regulatory guidelines...
...Job Title: Head of Treasury & Corporate Finance
Job Type: Permanent
Job Description: Job Purpose Summary:
The incumbent will manage and coordinate all aspects of treasury and corporate finance for Company. The Head of Treasury and Corporate Finance will be...
Job Summary
Talent Acquisition Officer is a human resources professional responsible for sourcing, attracting, selecting and hiring top talent in the market.
Job Responsibilities 1
Liaising with internal departments to determine recruitment needs.
Conduct sourcing...
Queremos integrar en el equipo a 2 Analistas Programadores Java, con al menos dos a os de experiencia en el desarrollo de aplicaciones para interesante proyecto en la Administraci n p blica.
JAVA MADRID CENTRO HORARIO FLEXIBLE
Env anos tu CV y, comenzamos!
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...Accountant - Treasury "Job Details" Job Description JOB SUMMARY: The Accountant - Treasury supports all financial and accounting matters pertaining to cash collections, daily cash reconciliation, and ensures accuracy of cashier functions. The post holder assists the line...
...liquidity. • Anticipating the company's borrowing needs. • Maintaining the financial systems and policies controlling the company's treasury activities. • Maintaining third-party financial activities. • Handling outsourced treasury functions. • Preparing budgets and...
...Corporate Treasury Specialist – Foreign Exchange
Corporate Treasury Specialist – Foreign Exchange
Empirical Search Doha, Qatar Corporate Treasury Specialist – Foreign Exchange
Empirical Search Doha, Qatar Posted 5 days ago Flexible Job Permanent Competitive...
Reviewing and monitoring global daily and weekly bank activities, and reconciling client invoice payments
Resolve daily cash management issues in a timely manner
Dealing liquidity between our different bank accounts around the world, and interacting with our banking...
...Oversee, monitor and report daily operations related to the Group’s treasury function.
Develop, manage and recommend short/long term treasury strategies and plans.
Consolidate, analyse and report group short/ long term cash flow forecast and working capital requirements...
School Psych For Immediate Hire
Clarifi Staffing Solutions has a new and exciting opportunity for a full time school psychologist for the upcoming school ;
The school psychologist will be providing services to elementary school kiddos The school psychologist ...
...Reporting to the Treasury Manager, this role supports management within the group’s centralised treasury function whilst also liaising with the group’s financial service providers. To support the treasury and corporate finance activities of the group including the...
...dynamics, ongoing trends, and strategic recommendations to senior management.
Spearhead the development of Shariah-compliant treasury products, processes, and documentation
Develop and maintain strong relationship with counterparties; Financial Institutions,...
Assessing bank mandates to ensure alignment with risk and compliance standards, including thorough OFAC/AML screenings.
Conducting comprehensive payment screenings to mitigate potential risks and ensure strict adherence to regulatory guidelines.
Revamping and streamlining...
...Job Summary
Commercial bank is looking to hire a Head of Treasury Finance and Product Controlto join our dynamic organization.
This role is reporting directly to the Chief Financial Officer, the Head of Product Control acts as an independent control and assessment...
...Your main responsibilities as the new Treasury Analyst will include:
Ensure daily cash management according to the company's operational needs
Execute and support any new banking infrastructure and process improvements to maximize overall cash and working...
...mitigation strategies.
Providing financial advice on investments, loans, and liabilities.
Preparing and presenting regular treasury reports, budgets, financial documents, and strategies to management.
Implementing financial policies and procedures.
Maintaining...
...Job Summary • The purpose of this role is to supervise the activities done by Treasury Operations team and perform all activities relates to Validation and authorization process. • Verify deals received/input from/by dealers with trade confirmation (or equivalent) sent...