Sr. Treasury Specialist

Empresa Confidencial

Madrid

Presencial

EUR 70.000 - 110.000

Jornada completa

Hace 12 días

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Descripción de la vacante

Empresa Confidencial is seeking a Sr. Treasury Specialist to manage cash, liquidity planning, and treasury operations across Iberia and LatAm.

The role requires collaboration with Finance Directors and Group Treasury to maximize cash generation and forecasting accuracy. The candidate should have 5+ years in treasury or corporate finance, experience in multinational environments, and strong analytical skills.

Formación

  • 5+ years of Treasury, Cash Management or Corporate Finance experience.
  • Experience in multinational and multi-country environment.
  • Strong exposure to banking, financing and working capital management.
  • Excellent Excel and reporting skills.

Responsabilidades

  • Manage daily liquidity and cash positioning across Iberia & LatAm entities.
  • Lead short- and medium-term cash forecasting processes.
  • Drive initiatives to improve cash conversion and reduce working capital requirements.
  • Oversee treasury processes, controls, and signatory management.
  • Prepare treasury and cash performance reporting for regional management.

Conocimientos

Analytical skills
Financial modeling
Stakeholder management
Communication skills
Presentation skills
Proactive execution

Herramientas

Excel
SAP

Descripción del empleo

The Sr. Treasury Specialist is responsible for managind the cash management, liquidity planning, banking relationships and treasury operations across Iberia & Latam. The role ensures optimal cash utilization, supports working capital improvement initiatives and contributes to the financial performance and risk management of the region.

The position requires strong collaboration with Finance Directors, Accounting, Controlling, Tax, Operations and Group Treasury to maximize cash generation, improve forecasting accuracy and ensure compliance with Group policies.

Key Responsibilities
  • Manage daily liquidity and cash positioning across Iberia & Latam entities.
  • Ensure adequate funding and optimize cash allocation across countries.
  • Monitor cash balances, intercompany funding requirements and cash concentration structures.
  • Identify opportunities to improve cash generation and reduce financing needs.
Cash Forecasting
  • Lead short-term and medium-term cash forecasting processes.
  • Challenge country forecasts and improve forecasting accuracy.
  • Analyze cash variances and identify risks and opportunities.
  • Provide regular visibility to regional and Group management.
Working Capital Optimization
  • Drive initiatives aimed at improving cash conversion and reducing working capital requirements.
  • Closely monitor AR, Unbilled, Deferred Revenue, Overdues and DSO.
  • Support collection acceleration plans alongside Finance and Operations teams.
  • Track and report TCC performance and corrective actions.
  • Manage relationships with regional and local banking partners.
  • Support financing initiatives, including credit facilities, guarantees, factoring, securitization and other working capital solutions.
  • Coordinate bank guarantee issuance, renewals and optimization.
  • Support discussions regarding new financing structures and treasury tools.
Treasury Operations & Controls
  • Ensure treasury processes are compliant with Group policies and internal controls.
  • Oversee payment processes, cash controls and signatory management.
  • Manage treasury risks related to liquidity, FX and counterparty exposure.
  • Support audit requests and treasury-related compliance activities.
Reporting
  • Prepare treasury and cash performance reporting for regional management and Group Treasury.
  • Monitor key treasury KPIs.
  • Present cash performance, risks and mitigation plans during management reviews.
Strategic Projects
  • Support M&A transactions, integrations, carve-outs and restructuring initiatives.
  • Participate in treasury transformation and process improvement projects.
  • Drive automation and digitization of treasury activities.
Key Performance Indicators (KPIs)
  • Cash Forecast Accuracy
  • Operating Cash Flow
  • Working Capital Improvement
  • DSO Reduction
  • Bank Guarantee Optimization
  • Treasury Compliance & Control Effectiveness
  • Cash Conversion Performance
  • TCC Achievement
WHAT WE ARE LOOKING FOR IN YOU?
Experience
  • 5+ years of Treasury, Cash Management or Corporate Finance experience.
  • Experience in a multinational and multi-country environment.
  • Strong exposure to banking, financing and working capital management.
  • Experience managing treasury activities across multiple legal entities.
Technical Skills
  • Advanced treasury and cash management expertise.
  • Strong understanding of financial statements and cash flow drivers.
  • Knowledge of financing instruments, guarantees, factoring and securitization.
  • Strong analytical and financial modeling capabilities.
  • Excellent Excel and reporting skills.
  • SAP experience preferred.
  • Highly analytical and data-driven.
  • Strong business partnering capability.
  • Results-oriented with a strong focus on cash generation.
  • Ability to influence stakeholders at all organizational levels.
  • Excellent communication and presentation skills.
  • Proactive, hands-on and execution-focused.
  • Comfortable operating in a fast-paced and international environment.
Languages
  • Fluent English and Spanish.
WHERE AND WHEN?

Work Schedule: Business Hours (Monday to Friday)

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