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Treasury Accountant

JR Italy

Torino

In loco

EUR 35.000 - 50.000

Tempo pieno

30+ giorni fa

Descrizione del lavoro

A financial services company in Torino is seeking a Treasury Operations Specialist to support cash flow activities, banking transactions, and financial processes. Responsibilities include monitoring liquidity, performing bank reconciliations, and preparing reports. The ideal candidate will hold a degree in finance or accounting and have strong skills in cash management and banking operations. This position offers a unique opportunity to engage in important financial decision-making and contribute to the company's success.

Competenze

  • Degree in Economics, Accounting, Finance or a related field.
  • Strong experience in cash management and banking operations.
  • Proficient in Excel and familiar with treasury management systems.

Mansioni

  • Monitor and manage daily cash flow for operational needs.
  • Perform bank reconciliations and resolve discrepancies.
  • Assist in cash forecasting and liquidity planning.
  • Maintain relationships with banks and financial institutions.
  • Process and authorize payments with compliance.
  • Prepare treasury reports, including cash flow statements.

Conoscenze

Cash management
Banking operations
Financial instruments
Analytical skills
Excel proficiency
Communication skills

Formazione

Bachelor’s or master’s degree in Economics, Accounting, Finance or similar
Descrizione del lavoro

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We’re seeking a person that will support the company’s cash flow activities, banking transactions, and related financial processes, ensuring compliance with internal policies and external regulations. This role will focus on supporting daily treasury operations, assisting with liquidity monitoring, contributing to cash forecasting, and providing accurate information to aid financial decision-making.

Main Responsibilities

Cash & Liquidity Management:

  • Monitor and manage daily cash flow to ensure sufficient liquidity for operational needs.
  • Perform bank reconciliations and resolve any discrepancies in a timely manner.
  • Assist in cash forecasting and liquidity planning.
  • Optimize working capital by monitoring receivables and payables.

Banking & Treasury Operations:

  • Maintain relationships with banks and financial institutions.
  • Process and authorize payments, ensuring compliance with approval policies.
  • Support the implementation and management of treasury systems and tools.
  • Assist in negotiating banking terms and conditions for accounts, loans, and credit facilities.

Financial Risk Management:

  • Monitor foreign exchange (FX) exposure and hedge transactions, if applicable.
  • Ensure compliance with internal controls, treasury policies, and financial regulations.
  • Support audits and internal reporting requirements related to treasury activities.

Reporting & Compliance:

  • Prepare treasury reports, including cash flow statements and liquidity analysis.
  • Ensure compliance with tax and financial reporting requirements related to cash and treasury transactions.
  • Assist in financial planning and investment strategies.

Qualifications and Experience

  • Bachelor’s or master’s degree (or comparable qualification/experience) in Economics, Accounting, Finance or similar.
  • Strong knowledge of cash management, banking operations, and financial instruments.
  • Advanced Excel skills and familiarity with treasury management systemsExcellent analytical, problem-solving, and communication skills.
  • Ability to work under pressure and manage multiple priorities
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