Treasury Specialist

Haier Europe

Vimercate

In loco

EUR 29.000 - 35.000

Tempo pieno

2 giorni fa
Candidati tra i primi
Generatore di candidature

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Vantaggi offerti da questo lavoro

Meal Tickets
Smart Working

Descrizione del lavoro

Haier Europe invites a skilled Treasury Specialist to join our Monza-Vimercate area team. You will lead corporate treasury initiatives, manage cash, liquidity, and banking relationships across regions, and drive ERP-integrated improvements with a focus on automation and governance.

The role requires at least 5 years in treasury, strong project management, and fluency in English. We offer an international, collaborative environment with exposure to global treasury practices and cross-functional

Competenze

  • Bachelor's degree in Finance, Economics, Business Administration, Accounting, or a related field.
  • Minimum 5 years of experience in Corporate Treasury, Cash Management, Treasury Consulting, or Treasury Operations in holding structures or similar.
  • Proven experience managing end-to-end treasury projects and transformation initiatives.
  • Strong understanding of treasury processes, banking products, cash management, liquidity structures, and financial risk management.
  • Experience with Treasury Management Systems (e.g., Piteco is a strong plus, Kyriba, Quantum, SAP Treasury).
  • Knowledge of ERP environments such as SAP, Oracle, or Microsoft Dynamics.
  • Strong project management skills and experience coordinating multiple stakeholders.
  • Professional certifications (CTP, PMP, Prince2, or equivalent) are considered an advantage
  • Excellent analytical, organizational, and communication skills.
  • Fluent English required; additional languages are a plus.

Mansioni

  • Lead treasury projects from initiation through execution, monitoring, and post-implementation review.
  • Define project scope, objectives, timelines, milestones, and deliverables in alignment with business requirements.
  • Coordinate cross-functional stakeholders, including Finance, Accounting, Tax, IT, Procurement, Legal, and external banking partners.
  • Manage project governance, risk assessments, issue resolution, and status reporting to senior management.
  • Ensure timely delivery of projects within scope, budget, and quality expectations.
  • Develop and maintain project documentation, process maps, business requirements, and implementation plans.
  • Support and optimize global cash management structures and banking relationships.
  • Monitor cash positioning, liquidity forecasting, and working capital initiatives.
  • Identify opportunities to improve cash visibility and centralize treasury activities.
  • Assist in the implementation and enhancement of cash pooling, in-house banking, and payment factory structures.
  • Support bank account management and treasury policy compliance.
  • Lead Treasury Management System (TMS, Piteco, SAP) implementation and enhancement projects.
  • Coordinate bank connectivity initiatives, including SWIFT, host-to-host and payment platforms.
  • Support ERP integration projects impacting treasury processes.
  • Drive automation and process standardization initiatives across treasury operations.
  • Collaborate with IT teams to define system requirements, testing plans, and deployment activities.

Conoscenze

Fluent English
Project management
Treasury management
Stakeholder coordination
Analytical skills

Formazione

Bachelor's degree in Finance or related field

Strumenti

Piteco
Kyriba
Quantum
SAP Treasury
ERP systems SAP
Oracle ERP
Microsoft Dynamics

Descrizione del lavoro

Company

Haier Europe, part of Haier Smart Home, is a leading player in the home appliances sector, operating through well-known brands such as Haier, Candy, and Hoover.

Job Posting Title

Treasury Specialist

The challenge

Headquartered in Monza (Vimercate), the company is at the forefront of delivering innovative and smart home solutions across Europe, with a strong focus on digital transformation and consumer-centric innovation.

Joining Haier Europe means becoming part of a dynamic, international environment that values collaboration, agility, and continuous development.

Team

You will be part of a young (Average 31yo), dynamic, and internationally structured team, collaborating across multiple regions to deliver efficient and well-coordinated treasury operations. The team is organized to leverage regional expertise while ensuring strong global alignment and governance.

  • Front Office (Italy): Responsible for strategic treasury activities, including the management of banking relationships, stakeholder engagement, and oversight of compliance, internal controls, and process integrity. The Front Office also serves as the primary point of contact for both internal and external partners.
  • Middle Office (Turkey): Provides essential support to treasury operations, with a focus on control and coordination activities, including payment oversight and cash flow management processes.
  • Back Office (China): Handles core operational activities, including payment processing and data management, ensuring a high level of accuracy, efficiency, and reliability in daily operations.

This international structure fosters a collaborative and professional environment, promotes cross-cultural communication, and offers valuable exposure to global treasury practices within a multicultural setting.

Job Description
What you will do

We are seeking an experienced Treasury Specialist with a minimum of 5 years of professional experience in corporate treasury, cash management, or treasury consulting. The ideal candidate will combine strong treasury expertise with proven project management capabilities, leading end-to-end treasury initiatives across multiple business functions and geographies.

This role will be responsible for driving treasury transformation projects, optimizing treasury processes, implementing banking and treasury management solutions, and supporting strategic initiatives aimed at enhancing liquidity, risk management, and operational efficiency.

Key Responsibilities
  • Lead treasury projects from initiation through execution, monitoring, and post-implementation review.
  • Define project scope, objectives, timelines, milestones, and deliverables in alignment with business requirements.
  • Coordinate cross-functional stakeholders, including Finance, Accounting, Tax, IT, Procurement, Legal, and external banking partners.
  • Manage project governance, risk assessments, issue resolution, and status reporting to senior management.
  • Ensure timely delivery of projects within scope, budget, and quality expectations.
  • Develop and maintain project documentation, process maps, business requirements, and implementation plans.
  • Support and optimize global cash management structures and banking relationships.
  • Monitor cash positioning, liquidity forecasting, and working capital initiatives.
  • Identify opportunities to improve cash visibility and centralize treasury activities.
  • Assist in the implementation and enhancement of cash pooling, in-house banking, and payment factory structures.
  • Support bank account management and treasury policy compliance.
  • Lead Treasury Management System (TMS, Piteco, SAP) implementation and enhancement projects.
  • Coordinate bank connectivity initiatives, including SWIFT, host-to-host and payment platforms.
  • Support ERP integration projects impacting treasury processes.
  • Drive automation and process standardization initiatives across treasury operations.
  • Collaborate with IT teams to define system requirements, testing plans, and deployment activities.
What You Need To Succeed
Qualifications & Skills
  • Bachelor's degree in Finance, Economics, Business Administration, Accounting, or a related field.
  • Minimum 5 years of experience in Corporate Treasury, Cash Management, Treasury Consulting, or Treasury Operations in holding structures or similar.
  • Proven experience managing end-to-end treasury projects and transformation initiatives.
  • Strong understanding of treasury processes, banking products, cash management, liquidity structures, and financial risk management.
  • Experience with Treasury Management Systems (e.g., Piteco is a strong plus, Kyriba, Quantum, SAP Treasury).
  • Knowledge of ERP environments such as SAP, Oracle, or Microsoft Dynamics.
  • Strong project management skills and experience coordinating multiple stakeholders.
  • Professional certifications (CTP, PMP, Prince2, or equivalent) are considered an advantage
  • Excellent analytical, organizational, and communication skills.
  • Fluent English required; additional languages are a plus.
Pay Transparency

Employment Type: Permanent Contract; Full-Time

National Collective Bargaining Agreement (CCNL): Metalmeccanici Privati

Minimum Gross Annual Salary: € 32.000

Benefits
  • Meal Tickets
  • Smart Working

The Company may offer a different compensation package than the one indicated above, based on objective criteria identified during the selection process (such as experience, skills or changes in the scope and responsibilities of the role). Any such variation is in no way based on previous salary levels or on personal or discriminatory factors.

All decisions are made in compliance with the principle of equal pay, the applicable National Collective Bargaining Agreement (CCNL) and EU Directive 2023/970, as well as the relevant national implementing legislation.

Haier Europe is an Equal Opportunity Employer. Employment decisions are made without regard to race, color, religion, national or ethnic origin, sex, sexual orientation, gender identity or expression, age, disability, or other characteristics protected by law.

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