Bank system administration (HSBC / BNP / WF / COBA / WPAC)
Intercompany loan agreement monitoring and management
Daily cashflow forecasting for pool accounts / daily trading position management – building and managing predictive models / liaising with operating units / updating TMS forecasts)
Daily netting, monitoring maturities and settlements
Preparation of Bank KYC, AML & Sanctions requests for review
Daily prior day cash account reconciliation in Treasury Management System (TMS)
Static data management in TMS
Liaising with Group accounting weekly / monthly to support KHL reporting processes
Processing ad-hoc trade finance issuance from central facilities
Global Bank facilities and parental guarantee tracker
Invoice tracking and management of Treasury systems (EIKON, KYRIBA, FINASTRA)
Opening ad-hoc bank accounts / bank mandate documentation processing
Support ad-hoc treasury initiatives
Prepare periodic reports, for Head of Treasury review, such as: DSO Report, Facilities and Net Debt report, Treasury Report, Operating Unit In-House Bank Stmt issuance (monthly); Net Debt (weekly) and annual Covenant Certificate production / Bank confirmation tracking,
Our requirements:
Minimum 2 years of prior experience in Treasury back office function
Good understanding of Treasury processes
Proficiency in English
Strong analytical skills
Excellent communication skills and a team-oriented approach
Benefits:
Unique opportunity of being part of newly created UK based Group Treasury Team,
Broad scope of processes,
Hybrid working model (2 days from home + 3 days from the office) after induction period,
Competitive benefits package (additional day off for birthday, medical care package for attractive fee, life insurance and sport card , lunch cards)
Bonus scheme,
Excellent office location,
Rekomendowane oferty
Specjalista/Specjalistka ds. księgowości i sprawozdawczości