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Cash Management Associate

AWP Service Brazil Ltda

São Bernardo do Campo

Presencial

BRL 80.000 - 120.000

Tempo integral

Há 16 dias

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Resumo da oferta

A leading financial services company in São Bernardo do Campo is seeking a Cash Management Associate to manage daily cash activities. The selected candidate will perform daily cash reconciliation and forecasts while ensuring adequate liquidity through effective cash pooling. Strong communication and analytical skills are essential. This position offers a full-time, permanent role with competitive benefits and a commitment to diversity and inclusion.

Qualificações

  • Excellent written and verbal communication skills are essential.
  • Strong analytical skills are required.
  • Ability to synthesize large volumes of data into structured outputs.

Responsabilidades

  • Manage daily cash of the Allianz Partners legal entities.
  • Perform Daily Cash Reconciliation and forecasts.
  • Allocate funds to ensure adequate liquidity.

Conhecimentos

Excellent written and verbal communication
Strong analytical skills
Ability to synthesize data
Ability to consolidate large volumes of data
Finance Acumen
Cash Management
Microsoft Excel
Microsoft Outlook
Descrição da oferta de emprego
Cash Management Associate
Position Summary

This role consists of managing the daily cash of the Allianz Partners legal entities, by performing Daily Cash Reconciliation, Daily Cash Forecast, Cash Pooling and Cash Investment.

Key Result Areas
Daily Cash Reconciliation

Monitor cash balances and reconcile discrepancies with previous daily forecast.

Investigate any unusual items.

Review the previous days internal cash transfers to ensure funds have been posted to the correct bank accounts.

Daily Cash Forecast

Ensure cash flow reports are accurate and completed in a timely manner.

Analyze daily cash flows - cash receipts and disbursements.

Forecast daily cash position for each bank account.

Cash Pooling

Allocate funds between bank accounts to ensure adequate liquidity.

Invest daily surplus funds in the Allianz Cash Pooling.

Cash Investment

Research and evaluate investments and financing options if Cash Pooling is not available.

Invest daily surplus in the alternate monetary assets.

Performance monitoring

Perform financial reports to monitor the performance of cash management activities.

Key Skills
  • Communication
    • Excellent written and verbal communication.
  • Management
    • Strong analytical skills.
    • Ability to synthesize.
    • Ability to consolidate large volume of data into structured and simple outputs.
    • Openness and flexibility to address challenges from various perspectives in order to find the best possible way to manage the challenge.
  • Finance
    • Finance Acumen
    • Cash Management
  • Software
    • Microsoft Excel
    • Microsoft Outlook

73942 | Finance & Accounting | Professional | Non-Executive | Allianz Partners | Full-Time | Permanent

Allianz Group is one of the most trusted insurance and asset management companies in the world. Caring for our employees, their ambitions, dreams and challenges, is what makes us a unique employer. Together we can build an environment where everyone feels empowered and has the confidence to explore, to grow and to shape a better future for our customers and the world around us.

We at Allianz believe in a diverse and inclusive workforce and are proud to be an equal opportunity employer. We encourage you to bring your whole self to work, no matter where you are from, what you look like, who you love or what you believe in.

We therefore welcome applications regardless of ethnicity or cultural background, age, gender, nationality, religion, disability or sexual orientation.

Join us. Let's care for tomorrow.

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