- Remoto
- Híbrido
- Tiempo completo
- Contrato
Permanent contract
What you'll 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 ...
- 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 ...
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 ...
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 ...
Fully remote
About the role EPAM is looking for a Senior SAP Treasury Consultant to join our team in a fully remote capacity, available to candidates based in Spain and Portugal. In this role, you will design, implement and support SAP S/4HANA Treasury and Payment solutions for our clients. You will take technical ownership of SAP In-House ...
Somos una consultora de comunicación y asuntos públicos a nivel internacional con más de 35 años de historia que centra su actividad en la protección y proyección de la reputación de sus clientes a través de la comunicación.
Spain, Barcelona
Ver vacanteSomos una consultora de comunicación y asuntos públicos a nivel internacional con más de 35 años de historia que centra su actividad en la protección y proyección de la reputación de sus clientes a través de la comunicación.
Somos una consultora de comunicación y asuntos públicos a nivel internacional con más de 35 años de historia que centra su actividad en la protección y proyección de la reputación de sus clientes a través de la comunicación.
Spain, Barcelona
Ver vacante€60,000 - €65,000 a year
... group specializing in the development and execution of infrastructure projects, with a solid presence in international markets, is looking for a Corporate Treasury Manager with a high level of English to lead the treasury management of several group companies, reporting directly to the country's Finance Department. What ...
40k
... team. You will help set technical direction and deliver resilient backend systems that help customers optimise liquidity, forecast cash flow, and automate treasury processes. What Treasury Management Does Treasury Management helps companies optimise and automate how they manage cash. - Liquidity management: get visibility ...
€45,000 a year
About the job Requirements Profile required - Minimum 10-15 years of experience in Accounts Receivable, Credit Management, Cash Collection and Treasury. - Strong experience in credit risk assessment, overdue management, customer exposure monitoring, cash forecasting, and daily treasury operations. - Solid experience in ...
Hybrid
This job was automatically translated to English, see original posting . What you'll do As a member of the Corporate Treasury Barcelona team, you will be able to participate in various projects in areas such as: - - Advisory on the accounting of complex financial instruments and transactions, under IFRS, Spanish General ...
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 ...
Have the right to work in Spain
... capital needs through the issuance of financial instruments in the market aimed at professional investors. What you'll do The position is integrated into the Treasury & Capital Management (TCM) area, responsible for liquidity management, wholesale funding, the fixed income balance sheet portfolio, structural balance sheet ...
€39k EUR - €40k EUR
... externas. - Trabajar estrechamente con equipos multifuncionales para agilizar los procesos y mejorar. Categoría Administración de empresas - Administración Nivel Especialista Personas a cargo 0 Vacantes 1 Horario Jornada partida. L-V hasta las 17:30/18:00h Salario 39.000€ - 40.000€ Bruto/año Beneficios sociales - Flexibilidad horaria
Spain, Zaragosa
Ver vacante60k - 300k
... aptitude. - Fluent English. - Advanced spreadsheet & modeling skills - Motivated to seek answers and problem-solving skills. Experience - Experience Corporate Treasury in GFS departments working with SAP in accounting processes. - Five years of experience in a Foreign Exchange department. - Experience with FX platforms (FXaLL, ...
Spain, Valencia
Ver vacanteEbury Group is seeking a Senior Data Analyst to support the Treasury domain. The role focuses 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. ...
60k - 300k
... aptitude. * Fluent English. * Advanced spreadsheet & modeling skills * Motivated to seek answers and problem-solving skills. Experience * Experience Corporate Treasury in GFS departments working with SAP in accounting processes. * Five years of experience in a Foreign Exchange department. * Experience with FX platforms (FXaLL, ...