Jobs in Europe
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Europe
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- Belgium 1
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Treasury
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Full time
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Direct employer
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- Entry level 3
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- Manager 23
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Found 93 Direct employer, Treasury, Full time jobs
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Consultant / Senior Consultant | Corporate Risk & Treasury Team
Practical knowledge of financial instruments accounting standards (MSSF 9, IAS 39, IFRS 9, ASC-815).
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Liquidity Reporting Controller CTC EMEA – Associate
Responsible for measuring, monitoring and managing the Firm’s liquidity, funding, capital, structural interest rate and foreign exchange risks.
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Accountant Cash Accounting Operations
Performing month-end closing, fixing, stabilizing activities (preparing and posting MJE, running reports)
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Treasury Analyst/Associate
Support strategic Treasury projects such as cash traceability/forecasting and analysis of Firm funding/liquidity usage.
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Senior Treasury Associate
Perform daily position reconciliations for clients and assist in the resolution of breaks.
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Treasury Accountant
Responsible for reporting, reconciliation and revaluation of all internal and external treasury transactions.
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Treasury Graduate
Treasury Graduate will be expected to oversee the cash management processes, hold conversations with senior Hedge Fund personnel.
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Praktykant / Konsultant w Zespole Corporate Risk & Energy
Wycen instrumentów finansowych oraz oceny ich wpływu na sprawozdania finansowe spółek.
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GLG Finance Lead #198941
Assist in the Audit and SOX process by documenting and maintaining evidence of review documents, and providing information.
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Treasury Analyst/Associate
Support strategic Treasury projects such as cash traceability/forecasting and analysis of Firm funding/liquidity usage.
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Business Manager - Finance & Business Management - Senior Associate
Establish strong relationships across the business and functional support partners.
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Manager - Prudential Liquidity Risk (Fixed term Contract) - Financial Services Advisor
Managing liquidity and market risk regulatory assignments for Financial Services clients (including internal audit).
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Senior Treasury Analyst – Associate 2
Provides process and review of daily workflow and ensures timely and accurate delivery for each client relationship.
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JPM Payments – EMEA Liquidity & Account Solutions - Business Manager - Associate
Oversight of monthly performance reporting and forecasting process, including revenue, balances, spreads.
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CIB_Global Finance and Business Management_EMEA Stress Testing PMO
Early identification and accurate analysis of prudential developments and influence on changes to the capital framework.
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Business Manager for Investment and Corporate Banking (ICB), UK&Ireland
Proactively and on request provide strategic analyses to facilitate business progression.
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Assistant, Global Business Solutions - Treasury - Cheltenham
The successful candidate will be responsible for owning and delivering global payments processing for our clients.
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CIB Equities - Financial Resource Analysis & Control – Senior Associate
The calculation, reporting and forecasting of the Global Equities Balance Sheet, RWA, G-SIB, Leverage, NII and Liquidity stress profile.
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Financial Control Senior Analyst
Ensure adherence to P&L and Balance Sheet controls owned by Financial Control, including identifying and implementing opportunities for efficiency.