Treasury Manager

hace 4 semanas


Madrid, Madrid, España Vodafone A tiempo completo

About the role:

You will manage the Company's cash and cash-equivalents by implementing procedures for treasury functions, including periodic cash flow forecasting, negotiation with banks, investment of funds, and maintaining bank signatory details and reconciliation of treasury and investment bank accounts.

As the Manager of Treasury in Vodafone Spain, you will be in charge of the following responsibilities:

Control of Treasury:

  • Implement the Treasury and Financial guidelines.
  • Oversee the cash flow forecasts, managing liquidity positions for daily and medium-term needs.
  • Review the reconcile statements, commissions, and interests with banks.
  • Manage intracompany cash pooling structures and define the optimal liquidity management strategy for all Vodafone Spain entities.

Relationship with Financial Institutions:

  • Lead negotiations with financial entities on banking products such as bank accounts, credit lines, SEPA payment methods, confirming, guarantees, and sales of handset financing.
  • Relationships with multiple financial institutions to ensure competitive solutions for cash optimization.
  • Define and implement strategies for optimizing the company's funding lines and treasury management on a short- and medium-term basis.
  • Participation in the finance restructuring of the debt with active involvement in contracts negotiations.

Payments and Collection:

  • Implement the payment and collection operations at corporate systems for SEPA transactions, Credit Card, ATM, and other payment methods at banks.
  • Supervise the management and control of payments, ensuring compliance with authorized signatures at bank mandates.
  • Oversee the banking reconciliation, ensuring the correct accounting of high volume of operations.
  • Ensure accurate and timely reporting both internal and to regulatory bodies, including the Bank of Spain, and fulfill compliance and audit requirements.
  • Supervision of Shared Services Centre's that oversee many treasury operations, payments, and collections, ensuring compliance with agreed service levels.

What do we need?

University degree: in Finance, Economics, Business Administration, Engineering, or a related field.

+12 years of experience in treasury management, financial management, or a related field, with an emphasis on cash flow optimization, banking negotiations, capital structure, and financial risk management.

Proved experience in Banking Relations & Financing.

Experience in:

  • Risk and Financial Instruments Management.
  • Corporate Finance & Liquidity Management.
  • Payment and Collection Systems.
  • Accounting & Compliance.
  • Treasury Systems.
  • SAP experience is desirable.

Vodafone is committed to attracting, developing, and retaining the best people by offering a flexible, motivating, and inclusive workplace in which talent is truly recognized, developed, and rewarded. We believe that diversity plays an important role in the success of our business and we are committed to creating an inclusive work environment which respects, values, celebrates, and makes the most of people's individual differences. We are proud to offer equal opportunities regardless of race, nationality, cultural origin, sex, age, marital status, sexual orientation, gender identity, disability, and religious or political beliefs.


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