Treasury Liquidity Specialist (m/w/n)
Méně než 2 týdny
Lenzing Business Services s.r.o.
Místecká 762, Paskov
Vzdálenost od tebe uvidíš po zadání adresy ve výpisu nabídek.
Úvazek
Práce na plný úvazek
Smlouva
Pracovní smlouva
Vzdělání
Bakalářské
Jazyky
Angličtina (Středně pokročilá)
Zařazené
Banking industry and financial services, Economics and Business Finance, Treasury specialist
O pozici
Main tasks & key accountabilities:
- You will be responsible for management and implementation of the liquidity management strategy, in particular financial status and liquidity planning
- You will be responsible for consolidation and reconciliation of the cash flow forecast, commentary on deviations, and coordination with other corporate functions
- You will prepare all treasury reports, such as financial status, cash flow forecast, and reports on market and liquidity risks
- You will execute treasury projects
- You will monitor compliance with all agreements in financing contracts, such as covenants, baskets, etc.
- You will be responsible for (annual and quarterly) closing activities, including calculations, reconciliation of consolidated financial statements, hedge accounting, BUD and MTP planning, and financial result planning
- You will represent, monitor and further develop the risk management strategy, including risk assessment, as well as the management/analysis and monitoring of all risks and other limits and the reporting of exceedances
Our expectations for this exciting role:
- You hold a completed university degree (BSc./Master) in economics, business informatics, or similar
- You bring at least 1-3 years of professional experience in the treasury middle office of an international company with a focus on liquidity management
- You have experience in liquidity management for an international corporation and managing liquidity planning
- You have a good knowledge of key operational treasury processes
- You are flexible, independent, and structured work style
- You have persuasion and negotiation skills, as well as communication and teamwork skills
- You have good communicative English skills (min B2)
- You have IT skills such as SAP, MS Office, treasury management systems – ideally Nomentia, 360T, electronic banking systems
What we can offer you:
- 25 vacation days per year
- Annual allowance of CZK 10,000 for leisure activities within the Lenzing Benefits programme
- Christmas bonus
- Pension contribution of CZK 15,600 per year
- A good work-life balance, with flexible working hours (core working hours 9:00-14:00) plus home-office days
- Subsidised on-site company restaurant, offering a choice of up to 6 meals per day
- Daily use of foreign languages with an international team
- On-site parking and bike storage
- A diverse and respectful company culture, where safety and sustainability matter
Nebo zkus mobilní apku
Uvidíš nabídky ve svém okolí a všechny své odpovědi budeš mít vždy po ruce
Naskenuj kód
Na Práci za rohem máš největší šanci najít si práci blízko domova a přestat dojíždět. Vybírej z volných míst a brigád po celém Česku, třeba v lokalitách Praha, Brno, Ostrava, Plzeň, Liberec, Olomouc, České Budějovice, Hradec Králové, Ústí nad Labem, Pardubice, Zlín, Havířov, Kladno, Most, Opava a mnoha dalších.
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