Treasury Manager

hace 6 días


España Nexthink SA A tiempo completo

Nexthink is the leader in digital employee experience management software. The company provides IT leaders with unprecedented insight allowing them to see, diagnose and fix issues at scale impacting employees anywhere, with any application or network, before employees notice the issue. As the first solution to allow IT to progress from reactive problem solving to proactive optimization, Nexthink enables its more than 1,200 customers to provide better digital experiences to more than 15 million employees. Dual headquartered in Lausanne, Switzerland and Boston, Massachusetts, Nexthink has 9 offices worldwide.Job DescriptionWe are looking for a talented Treasury Manager to join our team.The Treasury Manager job is a new position and an opportunity to play a significant role in building out the Treasury function within Nexthink. This position will report to the CFO directly. This is a greenfield opportunity to help build, support, and influence the direction of a new Treasury department.The Treasury Manager is responsible for managing day-to-day corporate treasury operations in relation to supporting the organization’s overall company objectives. The individual in this role will work alongside the CFO, the Global Controller, and the FP&A head in assisting with the development of policies, procedures, and the implementation of adequate controls for all treasury functions, including, but not limited to: Liquidity/Cash Management, Overall Capital Structure, Banking Relationships, Treasury Accounting, Foreign Exchange Management, M&A Financing, and Risk Management for the organization. The role will also lead and coordinate the annual insurance renewal process and be the primary day-to-day contact for Nexthink insurance company/broker.Key ResponsibilitiesManage the day-to-day operations of the treasury function, cash management, and bank relationships.Manage worldwide cash, including intercompany and funding initiatives to meet Capex, acquisition, and operational needs.Provide supporting documentation and input for treasury-related accounting accruals, audits, and special requests.Contribute to the formulation of short-term cash forecasts and provide support for the development of long-term financial modeling.Investigate payment exceptions among the finance, treasury systems, and bank to resolve issues.Drive process improvement and automation initiatives.Lead special projects and ad hoc analysis.Cultivate and maintain relationships with banking partners.Open and close bank accounts, perform KYC according to bank requirements.Assess and implement the appropriate tools and systems for Corporate Treasury.Develop, maintain, and recommend new Treasury strategies, policies, procedures, and systems to enhance operational controls and efficiencies.Manage timely and accurate internal Treasury reporting.Be the point of contact for day-to-day inquiries from internal and external stakeholders.Ensure departmental SOX compliance, including updates of controls, documentation, and testing – future state.Support debt covenant compliance activities (on a quarterly and annual basis), including assuring timely interest and principal payments, and tracking lender activities for bank debt, private placement notes.QualificationsBachelor's or Master's degree in Accounting or Finance.Minimum 8 years of progressive experience within corporate finance/treasury.Minimum 5 years of corporate treasury experience.CPA, CTP, or CFA preferred.Experience with web-based banking platforms and treasury workstations.High proficiency in Microsoft Office (i.e. Excel, Word).Excellent problem-solving skills, along with the ability to think analytically and critically.Excellent organizational and time management skills.Hands-on and self-directed.Team player comfortable working with employees at all levels of the organization.Experience in cultivating relationships within and outside of the organization and exerting influence to meet functional objectives.Strong analytical and mathematical skills.Excellent written and interpersonal communication skills, including command of the English language for reading, writing, and comprehension, to effectively communicate and interact across all functions and levels.Strong attention to detail and accuracy, with strong organizational skills and the ability to successfully manage multiple competing priorities and responsibilities independently.Subject matter expert in global bank products and services, bank policies, and regulations with ability to apply this knowledge to developing new techniques and standards within the organization.International cash management and project management experience with a publicly traded company.Experience in finance/treasury or closely related field.Additional InformationWe are 1000+ employees strong in 21 countries across 8 different time zones speaking 60+ languages. We are positive, we get things done, we keep growing, and we are one team, we are Nexthink. We believe actions are stronger than words when it comes to diversity, inclusion, and equity in the workplace. Nexthinkers are multinational and multilingual, and come from all walks of life. We are committed to hiring a genuinely representative workforce that can create solutions and foster innovation for the modern digital employee experience.If you are looking for a change and like a nice atmosphere, lots of challenges, and having fun while working, this is a great opportunity for you
#J-18808-Ljbffr


  • Treasury Manager

    hace 6 días


    España Vodafone A tiempo completo

    About the role:You'll manage the Company's cash and cash-equivalents by implementing procedures for treasury functions which include periodic cash flow forecasting, negotiation with banks (finance structuring, loans, factoring programmes, sale of debt and other cash optimization models), investment of funds, maintaining bank signatory details and...

  • Group Treasury Manager

    hace 5 días


    España Jd A tiempo completo

    Role overview: The Group Treasury Manager role is a key member of the Group Treasury function which is a new role that has arisen due to continued global expansion and internal promotion. As Group Treasury Manager your responsibilities will include managing the Groups liquidity portfolio to enhance return at an appropriate level of risk. You will build...

  • Treasury Manager

    hace 7 días


    España FREE NOW A tiempo completo

    Location: We are flexible! Come and join us either in Portugal, Spain, Italy or Poland! FREENOW empowers smarter mobility decisions helping people to move freely and cities to thrive. As part of the treasury team, you would be responsible for cash management, forecasting and liquidity steering at legal entity level for FREENOW, followed by coordination of...

  • Treasury Manager

    hace 6 días


    España Nexthink A tiempo completo

    Nexthink is the leader in digital employee experience management software. The company provides IT leaders with unprecedented insight allowing them to see, diagnose and fix issues at scale impacting employees anywhere, with any application or network, before employees notice the issue. As the first solution to allow IT to progress from reactive problem...

  • Treasury Manager

    hace 6 días


    España FREE NOW A tiempo completo

    Location: We are flexible! Come and join us either in Portugal, Spain, Italy or Poland! FREENOW empowers smarter mobility decisions helping people to move freely and cities to thrive. As part of the treasury team, you would be responsible for cash management, forecasting and liquidity steering at legal entity level for FREENOW, followed by coordination of...


  • España embat.io A tiempo completo

    Join to apply for the Treasury Presales Manager role at Embat.Embat was born to design the best way for medium and large sized enterprises to plan their finances and monitor their cash flow in real time.We are building a financial management platform that allows them to understand what has happened in the past, track what is happening today and forecast the...

  • Treasury Manager

    hace 6 días


    España btd grupo A tiempo completo

    ResponsibilitiesPlanning, control, operation and analysis of the financial position of the company and projects at national and international level in the following areas: net cash, asset positions, liability positions, payment instruments, currency derivatives, guarantees and sureties.Negotiation and instrumentation, with financial institutions, funds and...

  • Treasury Specialist

    hace 7 días


    España Affinity Petcare A tiempo completo

    DescriptionYour roleWe seek a Treasury Specialist who plays a critical role in managing the company's treasury operations, ensuring efficient cash management, and optimizing financial processes. You will oversee daily treasury activities, manage bank relationships, and support financial reporting and compliance efforts.What you will doReporting to the...

  • Treasury Specialist

    hace 7 días


    España Affinity Petcare SA A tiempo completo

    We seek a Treasury Specialist who plays a critical role in managing the company's treasury operations, ensuring efficient cash management, and optimizing financial processes. You will oversee daily treasury activities, manage bank relationships, and support financial reporting and compliance efforts.What you will doReporting to the Treasury Manager, the...


  • España Sulzer A tiempo completo

    GF Finance & Controlling, Accounting-E484 Senior Treasury Manager - Full Time - Madrid, Spain Sulzer is a leading engineering company with a proud heritage of innovation. Join our global team to grow your expertise and develop innovative solutions that enable a prosperous and more sustainable society. Join our team in Madrid as Senior Treasury Manager and...


  • España Adecco A tiempo completo

    The Treasury Analyst Settlements is responsible for securing the daily activities of performing settlement processing to ensure accuracy and compliance with all applicable regulations. The analyst supports the Treasury Manager Settlements in reconciliation and reporting functions for transactions with Merchants. The Treasury analyst maintains knowledge and...

  • Group Treasury Manager

    hace 6 días


    España Catenon A tiempo completo

    Importante compañía del sector FMCG precisa incorporar en Barcelona: Group Treasury ManagerGroup Treasury ManagerBarcelona (Spain) Ref: LQ9158 February 9, 2024 MASS COMMODITIES FUNCTIONSReportando al CFO. Sus principales funciones y responsabilidades se centran en las siguientes:Liderar los proyectos de flujos de tesoreríaGestionar procesos de...


  • España Adecco (Spain) A tiempo completo

    The Treasury Analyst Settlements is responsible for securing the daily activities of performing settlement processing to ensure accuracy and compliance with all applicable regulations. The analyst supports the Treasury Manager Settlements in reconciliation and reporting functions for transactions with Merchants. The Treasury analyst maintains knowledge and...


  • España Sulzer Ltd A tiempo completo

    GF_Finance & Controlling, Accounting-E484 Senior Treasury Manager  -  Full Time  -  Madrid ,  Spain Sulzer is a leading engineering company with a proud heritage of innovation. Join our global team to grow your expertise and develop innovative solutions that enable a prosperous and more sustainable society.  Join our team in Madrid as Senior...


  • España NA A tiempo completo

    The Treasury Analyst Settlements is securing the daily activities of performing the settlement processing to ensure accuracy and compliance with all applicable regulations. The analyst supports the Treasury Manager Settlements in, reconciliation and reporting functions for transactions with Merchants. The Treasury analyst maintains knowledge and expertise on...

  • Treasury Manager

    hace 7 días


    España SeQura A tiempo completo

    About seQura seQura provides innovative, flexible and easy-to-use payment technologies that help merchants acquire, convert and retain more customers. We make a difference in sales performance by tailoring our solutions to different sectors, to address their unique pain points and deliver superior results in Retail, Education (EduQa), Optics (OptiQa),...

  • Treasury Analyst

    hace 11 horas


    España LHH A tiempo completo

    Importante entidad financiera busca incorporar de forma temporal una posición de analista de tesorería para un período de 6 meses Misión: Asegurar la correcta contabilización de todos los eventos con impacto en tesorería y preparar la información de reporting para los socios. Funciones: Gestión del cash flow diario y resolución incidencias...


  • España Hays A tiempo completo

    Tu nueva empresaMultinacional Industrial con +5000 fábricas por todo el mundo y +3000 trabajadores.Tu nuevo puestoFormarás parte del equipo global de Tesorería, reportando al EMEA Treasury Manager. Entre tus principales funciones deberás encargarte de:Gestión de efectivo y liquidez de EMEAAdministración de Tesorería y Gestión Bancaria InHouseForecast...

  • Treasury Manager

    hace 7 días


    España Randstad ES A tiempo completo

    Tienes experiencia como manager de tesorería y estás en búsqueda de un nuevo proyecto? Si es así y tienes ganas de incorporarte a una nueva empresa con visión internacional y en pleno crecimiento, ¡apúntate!Nuestro clienteNuestro cliente es una reconocida empresa del sector ingeniería con presencia internacional y en pleno crecimiento.Tus...


  • España SeQura A tiempo completo

    About seQura seQura providesinnovative, flexible and easy-to-use payment technologies that help merchants acquire, convert and retain more customers. We make a difference in sales performance by tailoring our solutions to different sectors, to address their unique pain points and deliver superior resultsin Retail, Education (EduQa), Optics (OptiQa), Repairs...