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Regional Sales Manager - Series B Security Vendor - Paying Up To €220,000 Ote Plus Stock

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Sevilla

Presencial

EUR 50.000 - 70.000

Jornada completa

Hace 2 días
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Descripción de la vacante

A leading multinational company in the EMEA region is seeking a Treasury Responsible to join their Finance team. The position involves managing bank relationships, cash management practices, and overseeing supplier payments. The ideal candidate will have a Bachelor's degree in accounting, finance, or economics, along with substantial experience in a multinational setting.

Formación

  • Bachelor's degree in accounting, Finance or Economics required.
  • At least 5 years' experience in a multinational environment.
  • Knowledge of U.S. GAAP and IFRS required.

Responsabilidades

  • Manage bank administration and relationships, including setting up and maintaining bank accounts.
  • Prepare supplier payments and cash accounting entries.
  • Support cash positioning and forecasting.

Conocimientos

SAP Treasury
Cash management
Payment processing
Banking relationship management
Cost-saving identification

Educación

Bachelor's degree in accounting, Finance or Economics

Herramientas

Microsoft Office suite
Banking portals

Descripción del empleo

Our client, a multinational company with EMEA Finance Headquarter allocated in Madrid, is looking for a new Treasury responsible.

The candidate selected will be a member of EMEA Finance team reporting to the Accounting Manager. This role will be responsible for bank administration and relationship management, preparing and coordinating supplier payments, preparing bank account reconciliations and cash accounting entries and taking care of all cash related duties.

Responsibilities

  • Bank administration : New bank account and user set up, bank account maintenance, remove / add user access.
  • Bank relationship management : Interface with banking partners to resolve issues or implement new products.
  • Bank account management and cash management optimization for EMEA region.
  • Support weekly cash positioning and forecasting.
  • Prepare new letters of credit and maintain forecast and capacity report.
  • Review new credit and depositary agreements and identify treasury related obligations.
  • Recommend process and controls improvements. Identify cost-saving opportunities related to Treasury.

Requirements

  • Bachelor’s degree in accounting, Finance or Economics.
  • Experience working with SAP Treasury.
  • Good level of English (International reporting).
  • At least 5 years’ experience in a multinational environment, task and treasury statement.
  • Treasury experience, cash management and payment processing.
  • Experience with loan drawing process a plus.
  • U.S. GAAP and IFRS working knowledge required.
  • Proficient with Microsoft Office suite of products and Banking portals.

Permanent position, competitive salary according to experience plus bonus.

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