Treasury Analyst Emea

WPP

España

On-site

PHP 350,000 - 550,000

Full time

14 days+
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Job summary

WPP is looking to strengthen its Treasury team by hiring an Analyst Accountant to support daily cash operations and ensure accurate financial information.

Key responsibilities include daily bank transaction analysis, cash collection reporting, and posting entries across Balance Sheet and P&L. The role requires intermediate English and a finance/accounting background, with a hybrid work setup in which four days are in-office.

Qualifications

  • Degree in Finance, Accounting, or related field.
  • Strong Excel skills: pivot tables, data analysis, formulas.
  • High level of accuracy, responsibility, and confidentiality.
  • Proactive mindset with good communication and teamwork.
  • Ability to work in a fast-paced environment and manage multiple tasks.
  • Previous experience in an international environment is a plus.
  • Knowledge of cash pooling operations is a plus.
  • Intermediate level of English for HQ communication.

Responsibilities

  • Extract and analyze daily bank transactions and reconcile assigned accounts.
  • Provide daily reporting of cash collections.
  • Post accounting entries for outstanding items using Balance Sheet, P&L and customer/vendor accounts.
  • Upload payment proposals into banking platforms for sign-off.
  • Support agencies with payment confirmations and audit documentation.
  • Prepare the weekly Cash Report with closing balances by bank account.
  • Manage large financial data sets using Excel (pivot tables, lookups, formulas).

Skills

Excel
Attention to detail
Communication
Teamwork
Multi-tasking

Education

Finance/Accounting degree

Job description

We are looking to strengthen our Treasury team by hiring an Analyst Accountant who will support daily cash operations and ensure accurate financial information.

What you'll be doing:
  • Extract and analyze daily bank transactions, ensuring accurate reconciliation of assigned accounts
  • Provide daily reporting of cash collections received
  • Post accounting entries for outstanding items using Balance Sheet, P&L, and customer/vendor accounts as appropriate
  • Upload payment proposals into banking platforms for approval by authorized signatories
  • Support assigned agencies by providing payment confirmations, documentation for audits, and other treasury-related needs
  • Prepare the weekly Cash Report, including closing balances by bank account
  • Manage large volumes of financial data using Excel (pivot tables, lookups, and formulas)
What you'll need:
  • Degree in Finance, Accounting, or a related field
  • Strong Excel skills (pivot tables, data analysis, formulas)
  • High level of accuracy, responsibility, and confidentiality
  • Proactive mindset with strong communication and teamwork skills
  • Ability to work in a fast-paced environment and manage multiple tasks
  • Previous experience in an international environment is a plus
  • Knowledge of cash pooling operations is a plus
  • Intermediate level of English (required for communication with headquarters)

Hybrid work arrangement: teams in-office about four days a week; accommodations may be discussed during interview.

WPP is an equal opportunity employer and considers applicants for all positions without discrimination or regard to particular characteristics. We are committed to fostering a culture of respect in which everyone feels they belong and has the same opportunities to progress in their careers.

Please read our Privacy Notice (https://www.wpp.com/en/careers/wpp-privacy-policy-for-recruitment) for more information on how we process the information you provide.

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