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Zoho One Developer And Consultant Spain

Telefónica, S.A.

Comunidad Valenciana

Presencial

EUR 40.000 - 80.000

Jornada completa

Hace 30+ días

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Descripción de la vacante

Una empresa multinacional líder en el sector de productos de consumo busca un Especialista en Tesorería Senior. Esta posición es clave para supervisar la liquidez financiera y las estrategias de gestión de riesgos a nivel global. Se espera que el candidato tenga más de 5 años de experiencia en tesorería y relaciones bancarias, y que posea habilidades analíticas fuertes. La compañía ofrece un entorno colaborativo donde los empleados son considerados el activo más valioso, promoviendo el crecimiento personal y profesional. Si buscas un desafío a largo plazo en un ambiente dinámico, esta es tu oportunidad.

Servicios

Flexibilidad laboral
Actividades de salud y bienestar
Oportunidades de desarrollo personal
Conciliación de vida laboral y familiar

Formación

  • 5+ años de experiencia en tesorería o análisis financiero en un entorno multinacional.
  • Fluidez en inglés y español para comunicarse eficazmente.

Responsabilidades

  • Gestionar el flujo de efectivo global y optimizar la liquidez de la empresa.
  • Mantener relaciones con instituciones bancarias y negociar términos favorables.
  • Identificar y gestionar riesgos financieros relacionados con divisas e intereses.

Conocimientos

Análisis financiero
Gestión de riesgos
Fluidez en inglés
Fluidez en español
Habilidades analíticas
Trabajo en equipo

Educación

Licenciatura en Finanzas o campo relacionado

Descripción del empleo

Are you looking for a challenging position in Finance?

Do you have a good command in English?

Do you have strong analytical skills and are you able to work in teams?

Then you are in the right place!

With our headquarters in Zaragoza, Spain, we have offices in Madrid, Italy (Milan & Macerata), Vienna, Los Angeles, Mexico, India, China and presence in France, Belgium, Germany, Colombia, Brazil.

A leading multinational company in the FMCG and household products sector is looking for new staff to join the team in the Finance department. We offer a stable position, long-term professional challenge and varied areas of responsibility.

Our aim is to develop and grow together with our partners and customers all over the world and to offer global solutions to consumers. Not only this, but our employees are the most valuable assets.

Working at Bergner will give you flexibility, conciliation with family and social life, volunteering, health and well-being activities, growth at the personal and professional level by giving the opportunity to develop and improve soft skills, training and much more!

Senior Treasury Specialist

The Senior Treasury Specialist is responsible for overseeing and managing the financial liquidity, cash flow, and risk management strategies of the company on a global scale. This position will work closely with senior management to ensure the company's financial stability, optimize cash usage, and maintain effective financial controls across various international operations.

Key Responsibilities:

  • Cash Management: Monitor and manage the company's global cash flow, ensuring adequate liquidity across all regions. Oversee daily cash position and manage cash forecasts for various subsidiaries and business units. Optimize cash balances and working capital requirements for international operations.
  • Banking Relationships: Maintain relationships with global banking institutions to ensure efficient banking services and favorable terms. Negotiate terms for banking facilities, loans, and credit lines. Manage the global bank account structure and ensure compliance with local and international regulations.
  • Risk Management: Identify, assess, and manage financial risks related to currency exchange, interest rates, and commodities. Develop and implement hedging strategies to mitigate risks in various international markets. Monitor and manage credit risks associated with suppliers, customers, and other stakeholders.
  • Financial Reporting and Compliance: Prepare and analyze treasury reports for senior management and board meetings. Ensure compliance with international financial regulations, local tax laws, and corporate governance requirements. Ensure all treasury-related activities are in line with the company's policies and strategies.

What are we looking for?

  • 5+ years of experience in treasury, banking relationships, financial analysis, or a similar role, preferably within a multinational environment.
  • Fluency in English and Spanish (both written and spoken) to effectively communicate across global teams.
  • Strong analytical and problem-solving skills, with the ability to assess financial risks and optimize cash management strategies.
  • Excellent attention to detail and a high level of accuracy in financial reporting and forecasting.
  • A proactive and results-driven mindset, with a strong sense of responsibility and ownership.
  • Ability to work collaboratively in cross-functional teams and adapt to a dynamic, fast-paced environment.
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