As the Senior Treasury Analyst you will assist with all aspects of cash management for the business, including cashflow... forecasting, liquidity management, funding & equity/capital planning, debt management and relationships with the key financial...
to ensure sound back office Treasury operations and providing cover as required Working with Senior Treasury Analyst to ensure...: Reconciling trade, broker’s positions, funding and cash flows. MT4 reconciliation plus maintain audit trade data file Assisting...
Securitisation Reporting Analyst Working at our iconic office in King's Cross, London, and virtually via Microsoft.... You'll provide the reporting and manage the liquidity of the vehicles and work with others to contribute to the...
. Responsibilities Taking up the role of Business Analyst to ensure end to end (E2E) implementation across 6 new solutions: Retail... PRA Capital+ Funding Plan Support the following processes: Discovery & Assessment: Participate in and review Nasdaq...