Head of Treasury
2 days ago
Barcelona
The aim of the role is to manage the organization’s treasury operations, ensuring effective liquidity management, risk mitigation, and compliance with regulatory requirements. This role involves leading a team to optimize cash flow, oversee financial transactions, and support strategic decision-making related to treasury functions. Essential Job Responsibilities • Cash liquidity management, • Develop cashflow rooting which will be compliant with the legal and company requirements, ensuring proper funds allocation, • Monitor and manage the organization’s cash flow., • Forecast short-term and long-term cash needs, ensuring sufficient funds for operational and investment activities, • Distributes cashflow between optimal payment options within concept agreed with Financial Director, • Oversee cash pooling, intercompany loans, and bank account structures, • Control of dividends, intergroup transfers and short term investments 2. Risk Management • Identify, evaluate, and mitigate financial risks, including currency, interest rate, and credit risks., • Control of banking commissions and ensuring their optimal level, • Ensure compliance with company policies and regulatory requirements. 3. Treasury Operations and Processes • Supervise day-to-day treasury operations, including payments, reconciliations, and reporting., • Ensure timely and accurate execution of financial transactions., • Resolve complicated cases related to treasury operations, • Design and implement standard operating procedures 4. Reporting and Analysis • Prepare and present regular cash flow and treasury performance reports to senior management., • Control of correct transactions reflection in all Finance software to ensure further data quality for management reporting, • Conduct analysis to support decision-making related to funding, short-term investments, and risk management. 5. Leadership • Design and implement Treasury department organizational structure, ensuring it is fulfilled with the proper expertise, • Lead and develop the treasury team, providing coaching, mentorship, and training opportunities., • Assign tasks, set performance objectives, and conduct regular performance reviews., • Experience on similar position at least 3-4 years, • Fluent English, • Education in Finance, Accounting, Economics, • 2-3 years of leadership experience managing a team in a treasury or finance function with hands-on approach, • Demonstrated expertise in cash management, FX management, and developing funding strategies, • Experienced user of Excel and/or Google sheet, • Experience in setting up processes from scratch, their implementation and automatization, • Experience of working within regulated environment will be a heavy plus, • Strong analytical skills and strategic thinking, • Strong leadership and interpersonal skills, with the ability to influence and collaborate effectively at all levels of the organization, • Ability to manage multiple complex tasks and projects efficiently in a fast-paced and dynamic environment, • Work with real fintech data and tangible business impact, • Clear growth path towards AI and advanced analytics with support from senior engineers, • Modern data stack on Google Cloud, • Healthy lunches from our catering partners (gluten-free, lactose-free, vegetarian, and vegan options available), • Daily fresh fruits, healthy snacks, and a fully stocked kitchen, • Competitive salary based on experience and skills, • No dress code policy, • Free parking space if you are coming by car, • Flexible working schedule, • Career development opportunities based on business needs, • Team building and two corporate parties a year!, • Private health insurance, • Coverage for up to 50% of your language classes, sports membership, and mental health support Is this your next opportunity? Apply now and don’t miss it!