Treasurer and Banking Services Coordinator

Michael Page International Italia S.r.l.
Roma
EUR 30.000 - 50.000
Descrizione del lavoro
  • Organizzazione no profit con struttura multinazionale
  • Sede: Roma

Azienda

Our partner is a multinational non-for-profit Organization.

Offerta

The position directly reports to the Director of Treasury and will be in charge of liquidity management, operating banking relationships, and financing. The individual will be responsible for the relationship with operating banks for the organization, ensuring that the organization manages its liquidity efficiently and has all the financial services available to operate effectively.

This position will also be responsible for negotiations on new financing and refinancing of existing loans of the Head Office.

Main Responsibilities and Activities:

  • Coordinate and execute efficiently the movement of funds to different accounts and corporations and execute payments.
  • Management and analysis of short liquidity needs and surplus of different corporations managed by the head office.
  • Management of the short-term investment of the organization.
  • Preparation and analysis of cash flow of the organization and propose alternatives for the management of liquidity.
  • Monitoring FX and providing analysis and information to the Director of Treasury.
  • Analyze possible cash flow variation vs. the approved budget or other forecasts.
  • Coordinate the administration of different cards programs: account statements, credit cards, and purchase cards.
  • Liaise with accounting and legal to accurately register different transactions.
  • Coordinate with legal and accounting for the efficient execution of complex transactions.
  • Oversee the relationship and negotiate with banks in Italy, USA, and Mexico.
  • Secure the normative with banks and manage the KYC required with banks.
  • Establish and maintain the optimal banking structure for the organization.
  • Establish relationships with banks for possible future working relationships.
  • Manage the bidding process for cash management accounts and other financial services.
  • Secure the inventory of all financial services that the corporation might need to operate efficiently.
  • Analyze new financing and refinancing of the organization and its regions.
  • Manage and secure the financing and refinancing of the organization.
  • Prepare reports to be presented to the management of the organization.
  • Prepare the annual budget of the Treasury Department, financial expenses, and review financial expenses budget of other regions.
  • Analyze and provide recommendations regarding existing and possible new debt of the organization and its regions.
  • Liaise with banks and finance departments of the organization to efficiently communicate the financial stability and credit quality of the organization.
  • Secure short-term investments, financial products, and short-term financing for cash management.

Competenze ed esperienza

Necessary requirements:

  • Bachelor's degree or diploma in Finance or Economics and master's degree in finance or Master in Business Administration.
  • Experience in Treasury or Finance department in organizations or financial institutions.
  • 10+ years of experience.
  • Fluent in English.
  • Treasury Software: Kyriba, PITECO, DocFinance.

Completa l'offerta

Permanent contract within a salary appropriate to seniority.

Rome Office/remote working.

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