Department: Finance
Location: A Coruña
Job Description
As a Treasury Specialistyou will be supporting the Global Treasury Manager on planning, organizing and controlling all treasury needs for the Denodo assigned region subsidiaries.
The selected candidate will be proactive, self-motivated, and a fast learner, with the ability to take initiative and multi-task under tight deadlines.
Job Responsibilities & Duties
Support Global Treasury
- Handle recurring treasury activities, including but not limited to:
- Daily monitor of the assigned region cash balances.
- Process payments (to suppliers, local tax authorities, salaries, etc) in USD and foreign currencies, using different online platforms.
- Ensure the Purchase and Sales Ledger team have accurately recorded any payments within the ERP.
- Upload weekly bank movements to ERP system (Netsuite)
- Weekly Cash report updates and Forecasting (analyzing variances between forecast and actual).
- Monthly bank reconciliations.
- Manage bank accounts, handle Bank Relationship Management and negotiations of bank facilities.
- Assist preparing documentation for the banks to issue new credit cards, loans, credit lines, rentings, deposits or any other type of short-term financing.
- Monitor Intercompany Financing, making sure there are supporting documents for Intercompany operations.
- Assist in ensuring that the group’s treasury management policies and strategies are monitored effectively.
- Perform ad-hoc duties as required.
Desired Skills & Experience
- Bachelor of Business Administration and Management, Economic or similar.
- 4+ years’ experience working in a finance role, desirable 2 year of previous experience working in Treasury within an international organization.
- Desirable experience working with Treasury Management Systems.
- Outstanding attention to detail and accuracy.
- Good organizational skills to manage multiple task in high activity, dynamic environments.
- Intermediate-high knowledge of the Office package.
- Strong Excel skills including VLOOKUP's and Pivots (essential).
- Experience with NetSuite will be a plus.
- Desirable experience managing FX trading and FX forecasting.
- Experience implementing a cash management tool will be a plus.