Head of Treasury
hace 15 horas
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!