Senior Treasury Specialist

HiTHIUM Energy Storage

Navarra

Presencial

EUR 60.000 - 90.000

Jornada completa

Hace 10 días
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Descripción de la vacante

HiTHIUM Energy Storage in Navarra is seeking a Senior Treasury Specialist to join our Finance team, supporting cash-flow planning, banking operations, and financing coordination for our manufacturing site.

You will manage liquidity, oversee local bank accounts and payments, and hedge FX risk while coordinating cross-border funding in a fast-growing multinational environment. English and Spanish fluency are required, with a Finance degree and 3+ years in treasury.

Formación

  • Bachelor's degree in Finance, Treasury, Banking, Accounting or related field.
  • At least 3 years of professional experience in corporate treasury, preferably multinational or manufacturing.
  • Strong cash-flow forecasting, liquidity management and bank-operations experience.
  • Knowledge of corporate financing and banking products.
  • Understanding of FX risk and hedging principles.
  • Experience with cross-border fund flows and international treasury operations.

Responsabilidades

  • Prepare monthly and annual cash-flow forecasts and liquidity plans.
  • Manage local bank accounts and maintain accurate records.
  • Review and support daily payment and settlement processes.
  • Coordinate project financing and working-capital financing activities.
  • Build and maintain relationships with banking partners.
  • Support FX risk management strategies for EUR/CNY and other currencies.
  • Coordinate cross-border funding activities and fund transfers.
  • Prepare treasury analysis reports for local and Group management.
  • Support local treasury procedures in line with Group requirements and Spanish regulations.
  • Assist audits covering treasury activities and identify liquidity risks.

Conocimientos

Cash-flow forecasting
Liquidity management
Bank operations
Corporate payments
FX risk management
Cross-border treasury
Financial analysis
Stakeholder communication

Educación

Bachelor's degree in Finance/Treasury/Banking/Accounting

Descripción del empleo

At HiTHIUM, we are driving the development of advanced battery energy storage solutions and supporting the transition toward a more sustainable energy future.

As we continue developing our manufacturing footprint in Spain, we are looking for a Senior Treasury Specialist to join our Finance team in Navarra.

The role will support treasury operations for the construction and subsequent operation of our manufacturing site, with responsibility for cash-flow planning, banking operations, financing coordination, payments and foreign-exchange risk management.

Responsibilities
  • Prepare monthly and annual cash-flow forecasts and liquidity plans, monitoring actual cash inflows and outflows.
  • Manage local bank accounts and maintain accurate bank-account records.
  • Review and support daily payment and settlement processes.
  • Coordinate project financing and working-capital financing activities and support financing contract execution.
  • Build and maintain relationships with banking partners.
  • Support the definition and execution of foreign-exchange risk management strategies, particularly for EUR/CNY and other relevant currencies.
  • Coordinate cross-border funding activities, including capital injections, fund transfers and other treasury-related transactions.
  • Prepare cash, liquidity and treasury analysis reports for local and Group management.
  • Support the implementation of local treasury procedures in line with Group requirements and Spanish regulations.
  • Support internal and external audits covering treasury activities and identify potential financial and liquidity risks.
Requirements
  • Bachelor's degree in Finance, Treasury, Banking, Accounting or a related field.
  • At least 3 years of professional experience in corporate treasury, preferably within a multinational or manufacturing environment.
  • Solid experience in cash-flow forecasting, liquidity management, bank operations and corporate payments.
  • Knowledge of corporate financing and banking products.
  • Understanding of foreign-exchange risk and hedging principles.
  • Familiarity with cross-border fund flows and international treasury operations.
  • Fluent English and good working knowledge of Spanish.
  • Strong financial risk awareness and analytical capability.
  • Good communication and negotiation skills.
  • Comfortable working in an international and fast-growing organization.
  • Experience supporting a greenfield, construction or industrial investment project would be particularly valuable.
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