Jobs in Europe
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Europe
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Treasury
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- Entry level 3
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Found 101 Treasury, Permanent, Full time jobs
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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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Chief Data Office Associate
Project manage the production of core operating model (roles, responsibilities, runbooks) to meet Strategic data requirements.
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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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Treasurer
Treasurer role in a well known Automotive company.Client DetailsOur client is a well known Automotive company. For their growth strategy, we are searc
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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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Treasury Supervisor - Hybrid Working
This is a full time, permanent position based in the City of London with a hybrid working option. This is an ideal role for someone who wants to work
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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.
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EMEA Liquidity Investment Funding Controller (AVP)
Review of the daily P&L for EMEA TCM desk, working closely with Mumbai and providing Hub sign off, SME advice, and desk liaison as required.
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Manager, Portfolio Accounting
Review daily operational deliverables (Trade, Cash and Portfolio reconciliations)
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Financial Accountant - Stock
Significant cross-functional working across Finance (mainly tax, treasury, FP&A, stock operations and ABF), Buying & Merchandising.
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CIB F&BM Business Manager Payments-TS & Trade FIG Sales Europe- VP
Development and oversight of performance metrics for the business, including financial, pipeline, expenses
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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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Associate Business Manager
Identify, escalate and mitigate business risks that could impair our ability to do business: e.g. legal, tax, regulatory, capacity issues.
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Junior Credit Controller
Supervise collections, cash application and invoice-credit note matching activities.