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Treasury Manager

mAbxience

Sevilla

Presencial

EUR 60.000 - 80.000

Jornada completa

Hace 2 días
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Descripción de la vacante

Join a leading biotechnology firm as a Treasury Manager in Madrid. This role involves managing cash flow, liquidity, and treasury operations in a multi-entity environment. The ideal candidate will have extensive experience in treasury functions and strong analytical skills. You'll collaborate with senior leadership and financial institutions to ensure strategic alignment and financial health. This position offers opportunities for professional growth and a chance to impact global health.

Servicios

Collaborative work culture
Opportunities for professional growth
Contribution to healthcare solutions

Formación

  • Minimum 5 years of experience in Treasury or related financial roles.
  • Strong experience in cash flow forecasting and multi-currency operations.

Responsabilidades

  • Prepare cash flow forecasts and budgets for Spanish entities.
  • Coordinate cash flow projections across multiple legal entities.
  • Analyze foreign exchange exposure and recommend hedging strategies.

Conocimientos

Cash Flow Forecasting
Treasury Consolidation
Financial Risk Analysis
Communication
Interpersonal Skills

Educación

Degree in Finance
Master’s degree or professional certification

Herramientas

SAP FI
Microsoft Excel
Power BI

Descripción del empleo

mAbxience is a global biotechnology leader focused on improving patient access to high-quality biologic medicines. With over a decade of experience in biosimilars and innovative biologics, we are committed to advancing global health through cutting-edge science, strategic partnerships, and operational excellence.

Role Overview :

We are seeking a Treasury Manager to join our team in Madrid. This key role involves overseeing the company’s cash flow planning, liquidity management, and treasury operations across a multi-entity, multi-currency environment. You will work closely with senior leadership, internal stakeholders, and financial institutions to ensure the financial health and strategic alignment of the treasury function. The ideal candidate will bring strong expertise in cash forecasting and analysis, treasury consolidation, and systems such as SAP FI and advanced Excel.

Key Responsibilities :

  • Cash Flow Planning & Forecasting : Prepare the cash flow forecasts, budgets, and variance analysis of our Spanish entities to ensure accurate short- and long-term liquidity visibility.
  • Working Capital Management : Analyze and monitor receivables and payables metrics and support initiatives to optimize cash conversion cycles.
  • Group Cash Consolidation : Coordinate and consolidate cash flow projections across 5 legal entities, with multicurrency exposure.
  • Internal Reporting : Prepare and lead treasury-related internal reports on debt, collections, bank pool usage, and liquidity positions for management and shareholders.
  • Cash Optimization : Identify opportunities and risks related to cash availability and ensure that all payment obligations are met.
  • System & Process Efficiency : Leverage and enhance the use of SAP FI and Excel for automation, reporting, and financial controls. Knowledge of Power BI is strongly beneficial.
  • FX Risk Management : Analyze foreign exchange exposure and recommend appropriate hedging strategies in line with company policy.
  • Debt & Financing : Manage and implement credit lines, loans, and other financing instruments to maintain optimal capital structure and financial flexibility, according to Group policy.
  • Bank Relationship Management : Maintain strong relationships with financial institutions and negotiate terms for financial products, ensuring appropriate levels of liquidity and headroom.
  • Policy Compliance : Ensure alignment of treasury operations with shareholder guidelines and internal policies.
  • Cross-Functional Collaboration : Partner with teams in operations, and finance to support strategic planning and business needs.
  • Stakeholder Engagement : Serve as a trusted advisor to internal stakeholders regarding financial operations and cash strategy.

Requirements :

  • Degree in Finance, Business Administration, Economics, or a related field.
  • Master’s degree or professional certification (e.g., CTP, CFA) is a plus.
  • Minimum 5 years of experience in Treasury or related financial roles, preferably in an international environment.
  • Strong experience in cash flow forecasting, treasury consolidation, and financial risk analysis.
  • Proficiency in managing multi-currency operations and FX risk.
  • Advanced user of SAP FI and Microsoft Excel (Power Query, Pivot Tables, advanced formulas).
  • Experience with data visualisation tools such as Power BI is an asset.
  • Excellent communication skills in both English and Spanish.
  • Strong interpersonal skills, organizational abilities, and attention to detail.

Why Join Us?

At mAbxience, you’ll join a company that values innovation, agility, and making a global impact. We offer :

  • A collaborative and forward-thinking work culture.
  • Real opportunities for professional and career growth.
  • A chance to contribute to life-changing healthcare solutions.

Apply today and become part of our journey to transform the future of biopharmaceuticals.

COMMITMENT TO EQUAL OPPORTUNITIES

mAbxience is aware that business management must align with the needs and demands of society, and therefore assumes the commitment to equal opportunities and treatment between men and women, as stated in the current regulations on the matter - Organic Law 3 / 2007, and we do not discriminate against any person on the grounds of ethnicity, religion, age, sex, nationality, marital status, affective or sexual orientation, gender identity or expression, disability, or any other personal or social circumstance.

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