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Treasury Accountant: Cash Flow & Reporting Specialist

Confidential Jobs

Madrid

Presencial

EUR 40.000 - 60.000

Jornada completa

Hoy
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Descripción de la vacante

A financial services firm in Madrid is seeking a Treasury Accountant to join its Accounting team. Responsibilities include daily treasury movements, bank reconciliations, and cash flow monitoring. The ideal candidate will have a Bachelor’s degree in Accounting or Finance, with at least 3 years of relevant experience. A strong command of English and proficiency in Microsoft Office, along with familiarity with SAP, are essential. This position is crucial for maintaining financial integrity and compliance within the organization.

Formación

  • 3+ years of experience in a similar position.
  • Experience with financial applications and electronic banking systems.
  • Familiarity with payments, collections, and bank reconciliation processes.

Responsabilidades

  • Daily posting of treasury movements and bank reconciliations.
  • Monitoring daily cash position and cash requirements.
  • Assist with month-end closing activities.
  • Cash flow preparation and monitoring.
  • Manage cash disbursements and application of funds.
  • Liaising with external and internal auditors.
  • Manage incoming payments and bank authorizations.

Conocimientos

Analytical skills
Good communication skills
Planning & budgeting skills
Flexible attitude
Fluent in English (C1 level)

Educación

Bachelor Degree in Accounting, Business Administration, Finance or related studies

Herramientas

Microsoft Word
Microsoft Excel
Microsoft Power Point
SAP
Descripción del empleo
A financial services firm in Madrid is seeking a Treasury Accountant to join its Accounting team. Responsibilities include daily treasury movements, bank reconciliations, and cash flow monitoring. The ideal candidate will have a Bachelor’s degree in Accounting or Finance, with at least 3 years of relevant experience. A strong command of English and proficiency in Microsoft Office, along with familiarity with SAP, are essential. This position is crucial for maintaining financial integrity and compliance within the organization.
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