Anunciado 19 de febrero
Tipo de jornada
Sin especificar
Tipo de contrato
Sin especificar
Salario
Salario sin especificar
Estudios mínimos
Sin especificar
Nivel
Sin determinar
Número de vacantes
1
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Descripción del empleo

Fundada en 1993, actualmente somos uno de los mayores operadores de restaurantes en Europa y un referente en el sector de la restauración en China. Desde sushi hasta hamburguesas, desde restaurantes físicos a marcas digitales, nuestro objetivo es ofrecer a todos nuestros clientes alrededor del mundo, un servicio excepcional junto con el sabor irresistible de nuestros productos y a precios accesibles. Con más de 45.000 personas en 22 países por todo el mundo, somos una compañía global impulsada por un propósito común y una firme creencia: la excelencia de nuestro servicio es la manera de ganarnos el corazón de las personas.

Job Responsibilities

Reporting to the Global Treasury Director, your main activities will include:

  • Ensure and optimize AmRest’ liquidity.
  • Ensure the implementation of Global Treasury tools for its centralization.
  • Manage Global Bank accounts (like optimization, fees, etc.).
  • Review cash transactions and accounting processes to ensure accuracy and transparency.
  • Maintain a working knowledge of local, regional and global cash management techniques.
  • Work with key managers to maintain focus on cash generation and necessary financing.
  • Review and drive improvements to treasury reporting with focus on data accuracy.
  • Support other functions by providing expertise in treasury related areas.
  • Manage the relationships with banks and financial institutions, as well as with internal partners.
  • Support the Treasury and financial risk management function globally.

Requirements for Candidate

  • University degree, preferably in Economy, Finance or Accounting.
  • At least 5 years of experience in a similar position in an international environment.
  • Minimum 3 years of experience in a global position, especially in a Global Cash Management.
  • Hands-on experience in treasury systems management.
  • Native Spanish and fluency in English (both written and spoken) is a must.
  • Advanced proficiency in MS Office tools.
  • Ability to establish cross-functional, collaborative relationships with external and internal business partners.
  • Strong communication and presentation skills.
  • Excellent analytical and problem-solving skills.
  • Proactive, goal-oriented, self-reliant.

Benefits

  • Accelerated professional and personal development driven by meaningful challenges and knowledge-sharing culture,
  • Friendly and open atmosphere in a fast-growing multinational company,
  • Full-time job with flexible working hours,
  • Long-term contract,
  • Private Life and Health Insurance after 3 months,
  • 25% discount to our restaurants,
  • Competitive remunerative package.


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