Treasury Analyst with English

hace 22 horas


Madrid, España Page Personnel España A tiempo completo

**
Manage the country's treasury operations**:

- Ensure the day-to-day cash management and daily pooling of cash
- Perform a reconciliation of actual / forecasted flows
- Anticipate and plan the treasury flows as well as the cash flow statement of the Country
- Set up the necessary financing, deposits and bank guarantees, Corporate Cards
- Contribute to the process of attribution of the banking powers
- Optimize and challenge bank fees, create Budget and Trends.
- Ensure payments are done in time, tracking of approvals and point of contact between Business and Banks.
- **Support Treasury activities**:

- Report KPIs
- Support the cash management leader in management of bank relationships and projects
- Ensure collaboration with accounting team, credit, retail and other departments
- Contribute to set up solutions for securitization of treasury flows, cash transportation, and fight against fraud
- Provide information and explanations to Internal and External Auditors

SSC located in the East of Madrid|English is manda
- Studies related to Finance
- 2-3+ years experience in treasury, accounting, finance, auditing or Business Management in a rapidly growing business
- **English is mandatory**:

- **SAP is a plus**:

- Excel skills

SSC located in the East of Madrid

A great opportunity to join a multinational company

SSC located in the East of Madrid is looking for a Treasury Analyst with English

Treasury Analyst with English - SSC located in the East of Madrid



  • Madrid, España Page Personnel España A tiempo completo

    ** Manage the country's treasury operations** - Ensure the day-to-day cash management and daily pooling of cash - Perform a reconciliation of actual / forecasted flows - Anticipate and plan the treasury flows as well as the cash flow statement of the Country - Set up the necessary financing, deposits and bank guarantees, Corporate Cards - Contribute to the...


  • Madrid, España Page Personnel España A tiempo completo

    Conciliaciones bancarias de cuentas y posiciones de la compañía y sus diferentes sociedades - Cuadre de saldos intercompany - Cash flow y reporting de la situación de tesorería - Trabajo con otros departamentos contables (AR, AP, Contabilidad y Controlling) - Saldos de acreedores y deudores y seguimiento de deuda - Trabajo con aging, confirming, cash...

  • Treasury Analyst

    hace 1 semana


    Madrid, España SIX A tiempo completo

    We drive the transformation of the financial markets. That’s why we invest in bright minds, in their ideas, knowledge and development. We do that by combining our best sides. ***Treasury Analyst****: Madrid | 100 % | Reference 4051 BME is the infrastructure of all the securities markets and financial systems in Spain and is owned by SIX. **What You Will...

  • Treasury Analyst

    hace 6 días


    madrid, España Inetum A tiempo completo

    Treasury Analyst (Treasury, Cash Management, Back Office) We are seeking a Senior Cash Management, Systems & Back Office Treasurer for our Group Financing and Treasury Department. Although the department is located in Paris, France, the position will be based in Madrid to enhance the group's corporate scope, especially since the Iberia/Latam regions

  • Treasury Analyst

    hace 1 semana


    Madrid, España Celonis SE A tiempo completo

    We're Celonis, the global leader in Process Mining technology and one of the world's fastest-growing SaaS firms. We believe there is a massive opportunity to unlock productivity by placing data and intelligence at the core of business processes - and for that, we need you to join us. **The Role**: We are searching for Treasury Analyst with experience in...

  • Treasury Analyst

    hace 2 semanas


    Centro-Madrid, España Hays A tiempo completo

    Desde Hays estamos en búsqueda de un Treasury Analyst para importante cliente del sector agroalimentario en Madrid Centro **Misión del puesto**: Prestar apoyo y asistencia en el área de tesorería, garantizando una información veraz y actualizadas según los requerimientos del responsable del área **Funciones**: **Dar soporte en la gestión bancaria...


  • madrid, España Exus Renewables A tiempo completo

    A renewable energy company is seeking an experienced Treasury Manager to oversee liquidity and financial processes. The ideal candidate will have over 5 years of experience in Treasury roles within international contexts, advanced skills in Treasury Management Systems, and fluency in English and Spanish. Enjoy a hybrid work environment with autonomy and a...

  • Treasury Senior Analyst

    hace 1 semana


    Madrid, España Exus Renewables A tiempo completo

    AtExus Renewables, we leverage our industry expertise and diverse capabilities to drive the transition to a sustainable energy future. As anEnergy Solutions Provider focused on the development and management of renewable energy assetsand a strong presence across Europe, LatAm and North America, Exus takes pride in developing, owning, and operating...

  • Treasury Analyst Junior

    hace 1 semana


    Madrid, España Ebury A tiempo completo

    Quantitative Treasury ALM Junior Analyst Ebury is a global fintech firm dedicated to empowering businesses to expand internationally through tailored and forward‑thinking financial solutions. You’ll play a key role in shaping the future of cross‑border finance, while advancing your own career in a dynamic, high‑growth industry. Ebury Leon or Madrid...


  • Madrid, España Job&Talent A tiempo completo

    Join us to work on the future of work: your next adventure awaits! **The Position** We are looking for a Senior Treasury Analyst for our Treasury Team in the UK to support our Working Capital team with cash & liquidity management, cash flow forecast, banks management and ensure treasury KPIs **Responsibilities**: - Cash management and liquidity...