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A majority remote opportunity with fortnightly travel 1-2 days a week to West London / Surrey Office (Must be UK based) A dynamic Treasury Manager role focused on leading front-office operations. Cash management, FX execution, and strategic support for M&A activities. The position offers exposure to transformational projects, senior stakeholder engagement, and the chance to shape treasury processes within a high-growth, international business.
Contribute to the definition, development and management of a planning and management control system able to ensure the company achieves its business results. Coordination of the budgeting process, the collection, assessment and analysis of results, and support the interpretation and making of decisions.
Michaeal Page is excited to be partnering with a highly successful and growing business in Hammersmith, West London that are recruiting for a Finance Manager due to company growth. Hybrid Working
The Group Financial Controller will oversee global accounting and financial operations, ensuring compliance and efficiency within the manufacturing industry for a SME Business. This permanent role in Milton Keynes requires a detail-oriented professional to manage financial reporting and contribute to strategic decision-making.
The role of Product Control Lead within a world class CIB involves managing product control processes and automating processes from present manual ones. This position is ideal for a skilled derivatives knowledge looking to take ownership of an ambitious derivatives business permanently
This is a high-profile role managing the Group's debt, hedging, and cash operations, while driving treasury systems, reporting, and compliance. The role combines technical treasury expertise with project management and offers exposure to a complex debt and derivatives portfolio.
Our client is seeking a Treasury Analyst support a range of treasury initiatives across the UK and EMEA region. This role will provide hands-on support in the setup of a Notional Cash Pool, optimisation of banking structures, and cash forecasting processes.
The Financial Planning and Analysis Specialist is responsible for supporting the budget and forecasting processes of our EMEA business. Draws up the financial reporting and provides business/variance analysis aimed to support the periodical business performance review (store sales performance etc.) and operative decision process.
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