Treasury Specialist
Posted on: 28.11.2024
Warszawa Mazowieckie
Permanent
Telecommunications
We are seeking a motivated Treasury Specialist to join our client's dynamic financial team in the telecommunications sector.
Location: Warsaw
Work model: Hybrid
Key Responsibilities:
Location: Warsaw
Work model: Hybrid
Key Responsibilities:
- Manage daily cash flow operations, including intercompany loan arrangements, and maintain close collaboration with the AP and AR team to monitor cash balances, execute cash transactions, and forecast short-term liquidity needs.
- Build and maintain relationships with both central and local banks and financial institutions, negotiating terms for credit facilities, loans, and other financial services.
- Ensure accurate execution of payments through the bank, incl. payment approvals and bank reconciliations.
- Manage interest swaps that need to be restructured each quarter, netting with the bank based on interest rate movements.
- Support in preparation of periodic reports and presentations for senior management, providing insights into treasury performance, risks and opportunities.
- Manage AML process; provide information about the ownership structure to the banks.
- FX transactions - manage currency exchanges for local currencies and EUR.
- Minimum of 5 years of experience in treasury or cash management or a related financial role.
- Bachelor's degree in Finance, Economics, Accounting, Business Administration, or a related field.
- Understanding of regulatory requirements and compliance standards relevant to treasury operations, including familiarity with banking regulations.
- Experience with treasury management systems, particularly Integrity, is highly desirable.