Treasury Senior Specialist (Outsource)

Pernod Ricard España SA

Marmara Bölgesi

On-site

TRY 6,176,000 - 8,422,000

Full time

9 days ago
Application generator

Don’t send a generic resume — generate a resume and cover letter tailored to this exact role.

Get past ATS filters

Job summary

Pernod Ricard España SA is seeking a seasoned Treasury Manager for the global treasury function. You will optimize cash management, manage liquidity, and lead forecasting and reporting to support growth and governance across entities.

The role requires a track record in corporate treasury within international environments, strong analytical skills, and the ability to present to senior leadership. Hybrid or on-site arrangements may apply depending on location.

Qualifications

  • Bachelor’s degree in finance or related field.
  • 5+ years in corporate treasury or cash management.
  • Experience in international multi-entity environments.
  • Strong analytical mindset with attention to detail.
  • Ability to present complex topics to senior management.

Responsibilities

  • Optimize daily cash management and liquidity.
  • Plan, monitor and report daily cash position with adequate liquidity.
  • Develop short/medium/long-term cash flow forecasts and track variances.
  • Prepare treasury reports for senior management with insights.
  • Ensure accurate treasury operations including payments and banking transactions.
  • Handle supplier payments and maintain relationships with suppliers.
  • Manage ERP and TMS treasury entries and month-end reconciliations.
  • Assess funding needs and support financing actions (loans, factoring).
  • Coordinate banking relationships and KNF processes; negotiate fees.
  • Monitor interest rate, FX, and liquidity risks; assist hedging.
  • Strengthen governance, internal controls, and audit readiness.
  • Administer bank accounts, credit lines, letters of credit; maintain controls.
  • Create treasury procedures and promote best practices.
  • Drive continuous improvement, automation, and digitalization.
  • Support treasury in global projects and rollouts; cross-border collaboration.
  • Act as backup to the Treasury Manager.

Skills

Analytical mindset
Attention to detail
Ownership
Results orientation
Deadline-driven
Innovation & digital tools
Collaborative & inclusive
Clear communication
Presenting to senior management

Education

Bachelor’s degree in finance, Economics, Business Administration, Engineering or related

Tools

ERP systems
Treasury Management System (TMS)

Job description

About the job Pernod Ricard is Conviviality

We are Créateurs de Convivialité. Conviviality is what makes us unique. It's a key part of our culture as a Company and is something that people can truly understand and experience once they join Pernod Ricard. When working on our refreshed EVP, we wanted to make sure to capture this essence and incorporate it into our storytelling going forward, to proclaim it: "Conviviality, it's our thing."

Purpose of the position

Ensure optimal cash management, financial risk control, and robust treasury operations to support Pernod Ricard’s growth and convivial culture.

Main responsibilities and tasks
  • Optimize daily cash management and liquidity
  • Plan, monitor, and report the company’s daily cash position, ensuring sufficient liquidity to meet operational and financial obligations in a controlled and reliable way.
  • Develop short, medium, and long-term cash flow forecasts, track variances versus actuals, and proactively recommend actions to protect and enhance cash generation.
  • Prepare clear daily, weekly, and monthly treasury reports, presenting key insights and recommendations to senior management in a grounded, fact-based manner.
  • Ensure accurate and timely treasury operations Handle payment processing, operational deposits, and routine banking transactions with rigor, ensuring accuracy, timeliness, and alignment with internal controls and compliance requirements.
  • Execute supplier payments on time and in full, acting as the primary point of contact for suppliers regarding payment status, inquiries, and issue resolution, while fostering respectful and open relationships.
  • Oversee treasury-related entries and transactions within the ERP and TMS, ensuring data integrity and timely month-end bank reconciliations that withstand audit scrutiny.
  • Manage funding, banking relationships, and financial risk Assess the company’s funding needs and support the timely execution of financing actions, loan, factoring, and supplier finance transactions from an operational standpoint.
  • Maintain and strengthen relationships with banks and financial institutions, coordinating day-to-day topics, managing banking agreements and KYC processes, and supporting negotiations on bank fees, commissions, and financing costs.
  • Monitor interest rate, foreign exchange, and liquidity risks; support the execution of appropriate hedging or operational actions, and ensure accurate reporting of bank charges, commissions, and financing costs.
  • Strengthen governance, compliance, and internal controls Contribute to a robust internal control framework by ensuring disciplined documentation, clear process ownership, and reliable support to internal and external audit activities.
  • Administer and control processes related to bank accounts, credit limits, letters of guarantee, and letters of credit, ensuring they are operated efficiently and in line with group policies and regulatory requirements.
  • Create, update, and deploy treasury procedures and work instructions, promoting standardization, compliance, and a shared understanding of best practices across teams and geographies.
  • Drive continuous improvement, digitalization, and team support Lead and support continuous improvement and automation initiatives in treasury operations and reporting by optimizing TMS processes, enhancing bank connectivity and data quality, and implementing digital tools that reduce manual workload and strengthen controls.
  • Support treasury operations in global projects, rollouts, and process implementations, collaborating across borders and functions to deliver consistent and scalable solutions.
  • Act as the Treasury Manager’s backup to ensure continuity of daily treasury operations, reporting, and stakeholder communication, demonstrating ownership, reliability, and a passion for challenge.
Qualifications
  • Education: Bachelor’s degree in finance, Economics, Business Administration, Engineering or a related discipline
  • Experience: Minimum 5 years of experience in corporate treasury or cash management within an international, multi-entity environment, preferably in a FMCG or industrial group.
  • Capabilities: Strong analytical mindset and attention to detail, with the ability to translate data into clear, actionable insights. High sense of ownership, reliability and results orientation, consistently meeting deadlines and quality standards. Proactive, solution-driven attitude with a continuous improvement mindset and openness to innovation and digital tools. Collaborative and inclusive working style, able to build trusting relationships with internal and external stakeholders across cultures. Clear and structured communication skills, including the ability to present complex topics to senior management in a concise and grounded way.
Where Conviviality is at work?
  • Collective Spirit: Conviviality is in our DNA and connects us beyond borders. The more diverse we are, the better we are at shaping the future of our industry. At our table, we have fun and bring a performance mindset to our work. We feel proud to continue the legacy of our group and iconic brands.
  • Craft Your Path: Our people enjoy coming together and transforming obstacles into opportunities. Everyone is empowered to do their best work and we nurture an enthusiasm for innovation and growth. Here, you will own your career and have access to unique opportunities to craft the path you want to take.
  • Cultivate the Future: We're a business with a soul. We care deeply about each other, our communities, and our planet. We cherish the land where our products are grown and are committed to bringing good times from a good place. Being responsible in a safe and sustainable way is at the core of everything we do. Building a Workplace of Inclusion In line with the Group's core values, all recruitment processes are guided by the PR Leadership Attributes and the technical skills required for the role, ensuring fairness and eliminating any potential bias in candidate evaluation.

Job Posting End Date:

Target Hire Date: 2026-10-30

Target End Date: Pernod Ricard is a worldwide leader in the spirits and champagne industry, blending traditional craftsmanship, state-of-the-art brand development, and global distribution technologies. Our prestigious portfolio of premium to luxury brands includes Absolut vodka, Ricard pastis, Ballantine’s, Chivas Regal, Royal Salute, and The Glenlivet Scotch whiskies, Jameson Irish whiskey, Martell cognac, Havana Club rum, Beefeater gin, Malibu liqueur and Mumm and Perrier-Jouët champagnes.

Our mission is to ensure the long-term growth of our brands with full respect for people and the environment, while empowering our employees around the world to be ambassadors of our purposeful, inclusive and responsible culture of authentic conviviality.

Pernod Ricard’s consolidated sales amounted to € 10,959 million in fiscal year FY25.

Pernod Ricard is listed on Euronext (Ticker: RI; ISIN Code: FR0000120693) and is part of the CAC 40 index.

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Treasury Senior Specialist (Outsource)
Treasury Senior Specialist (Outsource)

Pernod Ricard España SA • Fatih

On-site
TRY 3,922,000 - 5,602,000
Treasury Senior Specialist (Outsource)
Treasury Senior Specialist (Outsource)

Pernod Ricard • Fatih

On-site
TRY 900,000 - 1,300,000
Trade Marketing Management Trainee, On & Hotel
Trade Marketing Management Trainee, On & Hotel

Pernod Ricard España SA • Fatih

Hybrid
TRY 36,000 - 60,000
Legal and Compliance Executive (Outsource)
Legal and Compliance Executive (Outsource)

Pernod Ricard España SA • Fatih

On-site
TRY 400,000 - 600,000
Legal and Compliance Executive (Outsource)
Legal and Compliance Executive (Outsource)

Pernod Ricard • Fatih

On-site
TRY 450,000 - 600,000
Field leadership role
Structured development
Career growth opportunities
+1
Senior Treasury Specialist: Cash, Risk & Banking Ops
Senior Treasury Specialist: Cash, Risk & Banking Ops

Pernod Ricard España SA • Fatih

On-site
TRY 3,922,000 - 5,602,000
Senior Treasury & Cash Flow Specialist
Senior Treasury & Cash Flow Specialist

Pernod Ricard España SA • Marmara Bölgesi

On-site
TRY 6,176,000 - 8,422,000
Senior Treasury Strategist: Cash, Risk & Global Ops
Senior Treasury Strategist: Cash, Risk & Global Ops

Pernod Ricard • Fatih

On-site
TRY 900,000 - 1,300,000
Legal and Compliance Executive (Outsource) at Pernod Ricard
Legal and Compliance Executive (Outsource) at Pernod Ricard

Pernod Ricard • Fatih

On-site
TRY 420,000 - 600,000
On Trade, Sales Supervisor, Ankara
On Trade, Sales Supervisor, Ankara

Pernod Ricard • Çankaya

On-site
TRY 350,000 - 550,000
Competitive compensation
Clear career progression
Global brand exposure