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About the Role
Responsibilities
- Bank negotiation within limits approved by Group Rules with the aim of optimizing costs and ensuring operations
- Make daily payments, ensuring compliance with regulations and payment terms
- Customers: ensure an efficient process of cash collection through the process of direct debits on clients’ current account with the help of the Group Treasury team
- Suppliers: proceed to payments to suppliers according to the negotiated payment terms conditions
- Ensure compliance with internal control regulations and key rules in treasury matters and within its scope of responsibility
- Supervise the daily treasury position and its explanations
- Proceed to the preparation of Treasury forecasts/estimates (Balance and financial result, TFD), internally/externally ((Group, treasury, CFO, consolidation, internal committees, others)
- Produce the different reports and explanations for the different areas (Group, tr...
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