Approved employer jobs in Europe
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Treasury
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- Permanent 40
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Full time
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Direct employer
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Qualified accountant
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Recruiting now
Found 40 Direct employer, Treasury, Full time, Qualified accountant jobs
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Treasury Management Analyst
As Treasury Management Analyst, you will coordinate with Business Finance, Accounting & Treasury teams to gather FX exposure data.
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Payments Officer
Meeting critical deadlines for all payment processing work, adhering to client timelines and bank payment cut-off times.
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Financial Accountant
The Financial Accountant is responsible for the accurate and timely production of consolidated financial information for the Group.
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Chief Data Office - Data Management Associate
Facilitate resolution and oversight of the book of data quality issues and data sourcing gaps.
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Senior Executive - Global Business Services - Bristol
Preparation and review of financial reporting requirements for clients to a high level of quality and delivered in line with agreed timetables.
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Treasury Analyst - Bank Relations
Assisting with periodic reconciliation of account data in centralized tool with external Banking partners and Business ledgers.
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Procesní a forenzní poradenství – Konzultant/ka
Mapování a optimalizaci procesů v klíčových oblastech (např. O2C, P2P, MM, GL, Treasury, Asset Management, Operations).
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Junior Credit Controller (with Ukrainian)
Support trade credit control, & Timely and accurate cash application.
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Finance / Treasury Chief Data Office - Tax Data Associate
Coordinate with Tax Product Owner to provide in/out of scope feedback for inflow demand.
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Finance / Treasury Chief Data Office - Tax Data Analyst
Project manage the production of core operating model (roles, responsibilities, implementation plan) to meet strategic data requirements.
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Treasury Analyst
We are looking for a team member to support the day-to-day management of the Group's Liquid Asset portfolio and Group Treasury strategic priorities.
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Treasury Analyst - Bank Relations
Assisting with periodic reconciliation of account data in centralized tool with external Banking partners and Business ledgers.
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Middle Office Administrator -AIS, Associate 1
Calculate all collateral movements required in accordance with the terms specified in the ISDA, PSA and ISMA agreements.
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Operacyjny Specjalista ds. Skarbowości
Provides oversight of daily workflow and ensures timely and accurate deliverables for each client relationship.
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Corporate & Investment Bank Treasury - Associate
Regular short-term forecasting of future balance sheet, funding and liquidity requirements and tracking vs. actuals.
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Corporate Treasury - Liquidity Regulatory Management - Senior Associate
Management and documentation of the Contingency Funding Plans for the in-scope entities ensuring consistency across the region.
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Senior Treasury Accountant
Prepare and post all required month end journals for GSK’s key Treasury companies. Work with Treasury to resolve exceptions.
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Financial Accountant - Oracle Reporting
Responsible for supporting the delivery of the transition to Oracle Retail systems from a Finance perspective.
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Middle Office Administrator -AIS, Associate 1
Direct integration with client Middle and Front Office teams (Investment Managers) to resolve trade discrepancies or issues.
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CIB Treasury - Senior Associate - Liquidity Controller
Assisting and overseeing production of daily, weekly, monthly and quarterly liquidity risk reports.