Managing the day to day operations of a London based investment firm. Establish and maintain credit lines to ensure the organization has sufficient liquidity for its operations. This involves negotiating terms with financial institutions a...
This Top 50 accountancy firm are looking for a Corporate Tax Assistant Manager to join their team in Central London. Within modern office based in the west end, this practice specialises in solving problems and creating solutions to make bu...
Responsibilities Ensure the bank has sufficient cash reserves and financial assets. Monitor and manage the bank’s foreign exchange, trading, liquidity, interest rate risk, and investment books. Execute deals in FX, rates, credits, and m...
Responsibilities: Conduct stress tests and identify risks to business plans, proposing changes to risk appetites. Generate regular reports on risk metrics and adherence to policies for senior management and committees. Prepare daily Mar...
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