Jobs in Poland
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Found 21 Treasury, Permanent, Full time jobs
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Manager, Balance Sheet Management, Solo
The Role Responsibilities The role is part of the Europe Finance team which is responsible for all financial and management reporting for the region
New
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Manager, Balance Sheet Management, UK
Our Role The role is part of the Europe Finance team which is responsible for all financial and management reporting for the region including support
New
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Manager, Balance Sheet Management
Our Role The role is part of the Europe Finance team which is responsible for all financial and management reporting for the region including support
New
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Senior Audit Manager for Finance, Regulatory Reporting & Global Treasury, Vice President
Provide insight on the evolving regulatory environment and interact with regulators.
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Treasury Data Analyst
Our role The main objective of this role is to actively participate in Treasury innovation and digitalisation programme, through creating and embed
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Lead Data Engineer
Our Role The main objective of this role is to actively participate in Treasury innovation and digitalisation programme, through creating and embed
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Junior Quantitative Analyst
Our role In the face of evolving regulations, rapid developments in balance sheet management platforms and demand for risk modelling services, Stan
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Associate Director, Capital & Balance Sheet Forecasting
Our role We are looking for a talented individual to play a frontline role, who can integrate deep business knowledge, excellent critical thinking an
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Junior Treasury Specialist
Our role We are looking for talented individuals to play an analyst role for Investment Portfolio Analytics project, who can integrate business knowl
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Recovery & Forecasting Lead Modeller
Our Role Our Treasury Modelling Hub in Warsaw is responsible for driving the technological transformation of Treasury. End Product Services team
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Cash Management Expert - new team!
Our Client, a global company with an office in Warsaw, Poland is now looking for Cash Management/Treasury professionals to join their new team!Informa
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Assurance - Treasury Manager with French
Hands-on expertise in corporate/bank treasury processes including cash management, capital markets, cash and treasury instruments accounting.
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Senior Vice President, Corporate Accounting
Directs processes & allocation of resources in determining the net asset value (NAV) for assigned funds in multiple sectors for each measurement cycle
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Senior Treasury Associate
Interact with brokers to support our client’s margin and collateral process, issue and respond to margin calls and execute collateral settlements.
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Valuation Control Group - Equities - Vice President
Assists with various VCG established practices and control initiatives as well as performs necessary work relating to management reporting.
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Regulatory Middle Office, MIFID II Reporting & Monitoring | Treasury Team | Risk Advisory
Effectively contribute towards the exercise of the Asset Management business post trade and transaction reporting obligations.
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Treasury Controller, AVP
Ensure accurate and timely reporting of business financial information in compliance with State Street policies and GAAP.
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Operating Analyst | Treasury Team | Risk Advisory
Owning and steering the onboarding process on behalf of the desk for all client types and products.
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Operations Analyst – Equities Confirms(Confirms Executions/Drafting) | Treasury Team | Risk Advisory
Demonstrate technical acumen and accuracy by ensuring you understand the economics of the trade and verify the accuracy in the firm’s booking systems.
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Operations Analyst – Listed Derivatives (Reconciliations) | Treasury Team | Risk Advisory
Ensure all aspects of custody, counterparty and accounting reconciliations are carried out in a timely manner.