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Group Treasurer

Human Value

Roma

In loco

EUR 80.000 - 110.000

Tempo pieno

Ieri
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Descrizione del lavoro

A global contract manufacturer is searching for a Group Treasurer to manage corporate funding, oversee financial risks, and ensure compliance with regulatory requirements. The ideal candidate will lead financial strategies and support financial activities across the group. This role requires a Master's degree, at least 7 years of relevant experience, and an excellent command of English. Join a dynamic team focused on growth and innovation in the manufacturing sector.

Competenze

  • Minimum 7 years experience in financial and treasury functions.
  • Experience in complex and structured environments.
  • Excellent command of English, both written and spoken.

Mansioni

  • Supervise compliance and regulatory requirements.
  • Manage corporate funding and liquidity sources.
  • Develop corporate financial strategies.

Conoscenze

Cash pooling systems
Treasury tools (SAP)
Advanced proficiency in Excel
Interpersonal and communication skills

Formazione

Master’s degree in Economics or Business Management

Strumenti

Power BI
Descrizione del lavoro

Our client is a global contract manufacturer serving the Industrial Gas Turbines, Aerospace and Medical Device sectors. They are also a leading producer of industrial coating equipment and a respected player in Additive Manufacturing. The Group counts over 1,800 employees across 18 production sites in Europe, North America and Asia.

We have been entrusted with the search of the :
Group Treasurer – Rif. H25 / 702

Main Responsibilities

Supervise compliance and all regulatory requirements, including reporting and disclosure of information, and oversee and maintain an appropriate level of internal control over Treasury activities.

Develop and implement, in collaboration with the CFO, policies and procedures that support the CFO in identifying, improving, and managing all financial risks, including exchange rate risk, interest rate risk, and credit risk.

Manage the corporate funding and liquidity sources of group companies through short- and long-term operations.

Meet the treasury and credit planning and reporting needs of the various Legal Entities and Divisions and manage the company’s Cash Pooling and financial flows.

Monitor the group’s debt levels and develop financial models to assess the impact of various scenarios.

Plan the company’s short- and long-term financial management by reviewing and automating the annual forecast using appropriate IT tools or Excel.

Develop corporate financial strategies and evaluate corrective actions to improve or challenge the status quo.

Prepare forecasts, budgets, and reports (mainly using Excel and PowerPoint, with a preference for Power BI, Click).

Proactively improve working capital management in accordance with the Group’s directives and priorities.

Collaborate in the data collection, preparation, and finalization activities, while also evaluating process effectiveness, for monthly and annual accounting closures.

Assess overall performance, highlighting areas of concern and proposing necessary corrective actions in case of imbalances.

Manage relationships with banks and financial institutions, discuss credit lines, and handle all necessary financial activities, ensuring the company obtains competitive conditions while supporting management in identifying and activating the most suitable credit access instruments for the entire group.

Support the CFO in extraordinary operations, managing complex financing, negotiating terms and conditions, hedging coverage, and ensuring compliance and reporting of covenants for banks or other financial institutions.

Develop a foreign exchange (FX) hedging strategy and manage currency risk.

Support the Invoicing & Soliciting office and handle disputes.

Supervise bank reconciliations for group companies.

Conduct analysis of third-party financial statements, providing adequate support for customer / supplier credit assessments.

Support in the preparation of financial statements.

Requirements
  • Master’s degree in Economics, Business Management, or related fields;
  • Consolidated experience (minimum 7 years) in financial and treasury functions within medium / large structured organizations and / or at audit firms (in the latter case, with experience in financial institutions);
  • Experience in implementing cash pooling systems;
  • Excellent knowledge of SAP and other Treasury tools;

Excellent command of English, both written and spoken.

  • Knowledge of national and international accounting standards and reporting systems;
  • Advanced proficiency in Excel;
  • Goal-oriented with the ability to work independently;
  • Strong moral integrity and a strong work ethic;
  • Excellent interpersonal and communication skills; Problem-solving ability;
  • Experience in complex and structured environments is preferred;

Flexibility and teamwork skills are essential.

Seniority level

Mid-Senior level

Employment type

Full-time

Job function

Finance

Industries

Manufacturing

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