€39k EUR - €40k EUR
Requisitos Estudios mínimos Grado Experiencia mínima Al menos 2 años Imprescindible residente en Provincia Puesto Vacante Idiomas requeridos - Inglés - Avanzado Conocimientos necesarios Tesorería Ventas Gestión de proveedores Fiscalidad de compras y ventas Precios y márgenes de productos Sector Gran consumo y
Spain, Zaragosa
Ver vacante€1,639 a month
About the job You'll most likely need Spanish to apply. This job was automatically translated to English, see original posting . Prosegur Cash, needs to hire a currency and banknote counter for its Palma de Mallorca branch. What you'll do The main duties will be: - Counting and sorting cash (currency). - Wrapping banknotes ...
... 5 years of experience in Corporate Treasury, Cash Management or a similar role within an international company. - Advanced English (C1). - Strong knowledge of SAP. - Proven experience working with Treasury Management Systems (SAGE XRT, Kyriba, SAP TRM or similar). - Advanced Excel skills. - Solid understanding of cash management, ...
€45,000 a year
... focus on managing treasury and client-related financial tasks. A background in accounting and finance and 8-10 years of experience in AR, Credit Management, Cash Collection and Treasury. SAP and English are highly valuable. Interim Management role that can turn into permanent eventually. - Temporary role (12 months) with ...
Fully remote
... delivery What we're looking for - Extensive professional experience with SAP ERP systems, especially SAP S/4HANA (ideally up to Release 2023) - Proficiency in SAP In-House Cash (IHC), Advanced Payment Management (APM) and Inhouse-Banking (IHB) functionalities and configuration - Experience in SAP Treasury and Risk Management ...
Hybrid
About the role Treasury Analyst Madrid | Working from home up to 40% | Reference 8251 The Securities Services Treasury team oversees the regulatory treasury and cash management of the financial market infrastructures in Switzerland and Spain. In addition to steering and managing liquidity for the custody and clearing businesses, ...
- Remoto
- Híbrido
- Tiempo completo
- Contrato
Permanent contract
... bridge the gap between traditional banking and seamless digital operations. And with TellMe, our proprietary AI financial assistant, we are empowering CFOs and treasury teams to query complex data and get real-time insights through natural language, turning manual reporting into an archaic memory. - The Team: 150+ exceptional ...
Referment is working with a rapidly scaling European FinTech that is transforming how CFOs and treasury teams manage cash, forecasting, accounting and payments. Following significant investment and international growth, they're looking for an experienced Treasury Implementation Consultant to join their team in Madrid. This ...
Fully remote
... posting . What you'll do - Perform daily reconciliation of ATMs and self-service devices. - Review and reconcile transactions recorded in the systems against cash balances. - Detect, analyze, and manage incidents arising from cash discrepancies. - Follow up on differences until they are regularized or definitively resolved. ...
€37,000 - €40,000 a year
About the role We are looking for a Treasury Manager with operational experience and coordination skills to lead the treasury area and a team of 3 people. - Established SME - Barcelona city What you'll do - Daily management and control of treasury. - Preparation and monitoring of cash flow. - Preparation of cash flow forecasts. ...
Spain, Barcelona
Ver vacante... on modeling data in the data platform, building reports, and developing AI-powered workflows to automate treasury data processes. You will collaborate with Treasury, Product and Tech teams to drive insights and efficiencies globally. Based in Málaga or Madrid with hybrid flexibility, you will contribute to cash management, ...
€50,000 - €60,000 a year
About the role The organization acts as an internal bank for a European group, managing funding, risk hedging, banking, and cash management, while supporting major corporate projects. The Treasury Analyst role belongs to a five-member team, reporting to the Treasury Manager, and focuses on mid-office treasury activities, ...
... Transactional Banking), operational managers, and clients. You will support the management of treasury operations, cash flows, and client services, ensuring cross-business continuity in case of absence. Key Responsibilities - Oversee and manage cash flows and customer relationships. - Analyze and validate payments exceeding the]]>
- Remoto
- Híbrido
- Tiempo completo
- Contrato
... Implementation teams to gather continuous client feedback. What we're looking for - Treasury Domain Expertise: You have mandatory functional knowledge of corporate treasury. Whether you come from a corporate treasury team, a TMS/banking vendor, or treasury consulting, you know what a treasurer worries about on a Monday morning. ...
Full relocation support
About the role As Senior Associate, Treasury , you will autonomously drive core treasury operations, liquidity and cash management, and investments (with a primary focus on public sector financing). Operating with high autonomy, you will manage the short term Treasury book, central bank operations, assess bank's liquidity ...
- Remoto
- Híbrido
- Tiempo completo
- Contrato
Permanent contract
... do We are looking for an Implementation Specialist who will be responsible for activating and configuring Embat software for new clients. This includes our Treasury Management, Cash Flow forecasting, Cash Accounting and Payments functionalities. - Consultation to determine the best configurations for the client's business ...
- Remoto
- Híbrido
- Tiempo completo
- Contrato
Permanent contract
What you'll do As an Implementation Specialist, you will be responsible for activating and configuring Embat software for new clients. This includes our Treasury Management, Cash Flow forecasting, Cash Accounting and Payments functionalities. - Consultation to determine the best configurations for the client's business ...
About the role We are looking for a Treasury Technician. What you'll do - Monitoring of bank statements N43, Mt940, overdue files. - Day-to-day management of incidents reported by the subsidiaries. - Weekly and monthly bank reconciliations. - Manage weekly, monthly, and urgent payments of subsidiaries. (national payments, ...
Spain, Barcelona
Ver vacante€40,000 - €44,000 a year
... - Location Arturo Soria What you'll do - Manage daily treasury operations, including payments, collections, and bank reconciliations. - Control and supervise cash flows to ensure the organization's liquidity. - Prepare financial reports related to corporate treasury. - Coordinate with banks and other financial entities ...