Job Search and Career Advice Platform

¡Activa las notificaciones laborales por email!

PROJECT TECHNICIAN

Viscofan

Madrid

Presencial

EUR 40.000 - 70.000

Jornada completa

Ayer
Sé de los primeros/as/es en solicitar esta vacante

Genera un currículum adaptado en cuestión de minutos

Consigue la entrevista y gana más. Más información

Descripción de la vacante

A global leader in casings production seeks a Corporate Treasury and Financial Technician to join their Corporate Finance team in Madrid, Spain. This role encompasses supervising banking relationships, managing cash flow forecasts, and contributing to treasury transformation projects. The ideal candidate will have over 3 years of experience in corporate banking with advanced skills in SAP, BPC, Power BI, and Excel. Join a culture of growth and innovation at a pioneering company.

Formación

  • 3+ years of experience in corporate treasury banking.
  • Strong command of advanced skills in SAP, BPC, Power BI, and Excel.
  • Solid understanding of cash flow planning and liquidity management.

Responsabilidades

  • Supervise local banking relationships and promote alignment with Group strategy.
  • Manage the consolidation of Free Cash Flow forecasts and support Group-level budgeting.
  • Actively contribute to corporate projects related to treasury transformation and digitalization.
  • Participate in strategic projects.

Conocimientos

Corporate treasury banking experience
Advanced SAP skills
BPC proficiency
Power BI expertise
Excel advanced skills
Cash flow planning
Liquidity management
Descripción del empleo
World Leader in the Production and Distribution of Casings

Offering a unique value proposition to the meat industry, with a presence in over 110 countries, serving more than 1,700 customers, and employing over 5,000 people across 23 countries.

Viscofan Group is not only a market leader, but also a pioneer in biotechnological innovation, delivering cutting‑edge solutions in both food and medical applications.

Position

Corporate Treasury and Financial Technician – Corporate Finance team.

Responsibilities
  • Supervise local banking relationships and promote alignment with Group strategy.
  • Manage the consolidation of Free Cash Flow forecasts and support Group‑level budgeting.
  • Actively contribute to corporate projects related to treasury transformation and digitalization.
  • Participate in strategic projects.
Qualifications
  • 3+ years of experience in corporate treasury banking.
  • Strong command of advanced skills in SAP, BPC, Power BI, and Excel.
  • Solid understanding of cash flow planning and liquidity management.
Join Us

Be part of a global leader with continuous growth and innovation. We welcome all qualified candidates and create an environment where everyone can thrive.

Consigue la evaluación confidencial y gratuita de tu currículum.
o arrastra un archivo en formato PDF, DOC, DOCX, ODT o PAGES de hasta 5 MB.