Anunciado 16 de abril
Esta oferta no acepta candidaturas
Tipo de jornada
Completa
Tipo de contrato
Indefinido
Salario
Salario sin especificar
Estudios mínimos
Sin especificar
Nivel
Sin determinar
Número de vacantes
1
Tags Relacionados
Descripción del empleo

Who we are


At Ferrer we are a group of people who believe in the power of purpose. And our purpose is to make a positive impact in society and bring about change in an unjust world. We are the 24/7 activists fighting for a sustainable planet, equal opportunities for all and a healthy workplace. We reject greenwashing and empty promises - we are about action. That is why in 2022 we became a B Corp company.


Founded in Barcelona in 1959, our products are present in more than a hundred countries, and we have a team of over 1,800 people. Professionals that we empower to became leaders of change and to build meaningful careers.



Your mission


As key member of the treasury department, you will participate in the project of department transformation, process automation, identification and control of risks, optimizing cash resources.



Responsibilities


  • Manage and monitoring of cash and financial expenditure budgets and analysis of variances. Define, implement and monitoring of treasury KPI's for financial decision making. Short and Mid-Term liquidity analysis to structure subsidiaries funding.

  • Continuous search for new financial products, treasury optimization and improvement of economic conditions. Optimization of working capital lines. Relationship with financial institutions.

  • Fostering development and supporting continuous improvement of treasury processes. Participate in cross-functional projects, as Implementing a treasury management tool, Management of bank files in SAP via EDITRAN or Reorganization of access to electronic banking based on banking powers.

  • Administrative management of foreign exchange risk

  • Control of bank settlements and accruals.

  • Management of remittances and reconciliation of loans with international subsidiaries. In subsidiaries where we do not have internal staff, responsible for the execution of payments and control of bank accounts.

  • Management of guarantee VISA cards for employees, daily factoring operations, and foreign trades. Bank reconciliations with a bank pool of approx. 25 financial institutions.

  • Monthly accounting closing, interest rates and calculation of interest on intercompany loans. Active participation in the annual audit process.

Why Ferrer?


  • Make a positive impact in society

  • Participate in volunteering activities

  • Grow in a culture of trust, responsibility, and constructive feedback

  • Enjoy a flexible working model & collaborative office experience to enable innovation and teamworking

  • Make a real difference to the team and to yourself

  • Take advantage of opportunities for development & learning

  • Discover a range of benefits to support your physical, emotional and financial wellbeing

  • Customize your remuneration and benefit



Requisitos mínimos

What you’ll need to succeed



You will rock at this company if you are a person with empathy, humility, curiosity and optimism.


You will rock at this role if you match with:


  • Degree in Business Administration, Economics or similar. With cash management knowledge.

  • +5 years of Sound experience in similar treasury & cash management functions, in complex multinational and multisocietary environments.

  • Languages: Spanish and English (fluent).

  • Knowledge of SAP (FI CO PA) and Windows Office and Treasury tools.

  • Excellent analytical skills, team player, empathy, active listening, results oriented, proactivity.


If this great challenge matches your profile, then we are waiting for you!


At Ferrer, we guarantee equal treatment and opportunities in recruitment, avoiding prejudices and stereotypes for any reason in the processes of access to the company, assessing only objective criteria such as professional and academic skills and work experience.




Compartir esta oferta