As part of our team, you will carry out the following duties:
1. Check that bank statements are correctly imported into the treasury ERP system.
2. Manage and resolve issues.
3. Review treasury positions generated automatically by the system.
4. Check bank balances within the treasury ERP system.
5. Create forecasts, including guarantees.
6. Handle issues with financial institutions: returns, rejections, fees and operational errors, and verify the correct
7. application of agreed banking terms.
8. Review interest settlements.
9. Prepare documentation for internal and external audits.
10. Provide bank statements to the accounts department and send documentation to financial institutions.
11. Make social security and tax payments.
12. Prepare bank files for payments.
WHAT DO WE NEED IN OUR TEAM?
For this role, we are seeking experts with vocational training (Treasury, Accounting or Banking) who have knowledge of Microsoft Business Central / Navision Financials treasury software and advanced-level proficiency in Microsoft Office.
We will also value previous experience and knowledge of Sage XRT Treasury payment management software.
WHAT DO WE OFFER?
Hybrid working model and 8 weeks per year of teleworking outside your usual geographical area.
Flexible start and finish times, and intensive working hours Fridays and in summer.
Personalized career plan development, training and language learning support.
National and international mobility. Do you come from another country? We can offer you a relocation package.
Competitive compensation with ongoing reviews, flexible compensation and discount on brands.
Wellbeing program: Health, dental and accident insurance; free fruit and coffee, physical, mental and financialhealth training, and much more!
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