Treasury Manager

2 miesięcy temu


Warsaw, Polska FREE NOW Pełny etat

YOUR DAILY ADVENTURES WILL INCLUDE:

Cash management, forecasting and liquidity steering of FREENOW legal entities, short and mid term cash forecasting, based on historical figures and by making use of our Treasury Management system Kyriba. 

Based on the internal treasury principles & policies and systems infrastructure, set up payout processes from an operational excellence perspective, also considering internal controls and compliance matters. Run and be accountable for day to day payout processes and activities for Vendors, Taxes, social Security, Payroll and Drivers in coordination with other departments, such as Accounting, Payroll, FinTech, making sure they are performed OTIF.

Implement, set up and maintain systems infrastructure for the Treasury department, mainly Treasury Management System and online banking platforms and coordinate funding activities with Accounting, Tax and Legal teams.

Manage bank account master records, proceeding with the opening, closing and maintenance of bank accounts within treasury systems. Coordinate and perform mandatory administrative tasks requested by banks such as: KYC, AML and FCA, in order to ensure compliance with local legal regulations. 

Last but not least, be the first focal point for any operational Treasury topic inside our organisation and banks.

TO BE SUCCESSFUL IN THIS ROLE:

Minimum 5 years of experience as a Treasury Manager, ideally in a Tech company, with excellent knowledge of cash management, forecasting and liquidity management, when it comes to best practices and principles. Good understanding of funding instruments, from a Treasury, Accounting and Tax perspective, such as equity injections, IC loan payment and repayment, dividend payment, investments, cash pooling.Have an autonomous way of working, by taking full accountability of duties and day to day activities and be able to manage your own workload and be a complete finisher.A “can do” approach on day to day challenges with very good interpersonal skills, with easy navigation within other areas, such as Accounting, Tax, Legal, Payroll. Stress resistant and ability to manage multiple stakeholders. English is mandatory, German is desirable. Other languages are welcome. 

BENEFITS & PERKS IN A NUTSHELL:

Flexible working arrangements LinkedIn Learning Sabbatical & special leave policies WeRoad partnership Birthday, 24th + 31st December off Short term EU work policy Mobility Credit Health Insurance Employee assistance program

Plus more local benefits depending on your work location

*in one of the 10 countries where we have a legal entity: France, Spain, Germany, Austria, Portugal, Italy, England, Ireland, Poland & Greece

DIVERSITY, EQUITY & INCLUSION:

FREENOW is an equal opportunity employer and we consider qualified applicants regardless of race, religion, national origin, gender, gender identity, sexual orientation, disability or age.
We want you to grow and evolve, . 


  • Treasury Manager

    7 miesięcy temu


    Warsaw, Polska Andersen Pełny etat

    Summary The IT company Andersen invites a Treasury Manager to join its team. Andersen is a pre-IPO software development company that provides a full cycle of services. For over 16 years, we have been helping enterprises and middle-sized firms transform their businesses by creating effective digital solutions using innovative technologies. Today, we...


  • Warsaw, Polska PL18 Alcon Polska Sp. z o.o. Company Pełny etat

    At Alcon, we are driven by the meaningful work we do to help people see brilliantly. We innovate boldly, champion progress, and act with speed as the global leader in eye care. Here, you’ll be recognized for your commitment and contributions and see your career like never before. Together, we go above and beyond to make an impact in the lives of our...


  • Warsaw, Polska Point72 Pełny etat

    What you ’ll do As a quantitative analyst on our Treasury Analytics team, you will be responsible for all quantitative aspects of margin modeling to improve optimization capabilities. Develop, implement, and maintain quantitative models for the Treasury function, including but not limited to models for cash management, liquidity risk, and foreign exchange...

  • Treasury Manager

    6 miesięcy temu


    Warsaw, Polska Ecovadis Pełny etat

    Description We are looking for a highly talented and experienced Treasury Manager who will be reporting directly to the Group Accounting Director. You will be managing global cash flows of the EcoVadis Group (“the Group”), ensuring its financial security by closely monitoring cash needs and looking for new investment opportunities. ...

  • Accountant, Record to Report

    7 miesięcy temu


    Warsaw, Polska VELUX Group Pełny etat

    In the VELUX Group, we offer you a world of opportunities and the chance to create a bright future. From the forefront of the sustainable indoor living industry, we enable those who live, work and play under the roof transform their spaces and live a healthier everyday life with more daylight and fresh air.The VELUX Group is an international, family-owned...


  • Warsaw, Polska JPMorgan Chase & Co. Pełny etat

    You are passionate about analyzing and drawing conclusions from large amounts of data, linking transactions and positions to liquidity reporting rules, that role is for you. As a Business Analyst within our Treasury Chief Investment Office team, you will have the opportunity to work on the Liquidity Risk Infrastructure (LRI) Project, a multi-year,...

  • Finance Manager, FMCG

    6 miesięcy temu


    Warsaw, Polska GOLDMAN RECRUITMENT Pełny etat

    For our client, an international company that is a distributor of well-known FMCG brands on the Polish market we are looking for Finance Manager.Responsibilities:preparing annual budget and quarterly forecasts and analysing vaiances on monthly basis,responsible for managing treasury and cashflow, cooperating with factoring companies and banks,collaborate...

  • Corporate Treasury

    8 miesięcy temu


    Warsaw, Polska JPMorgan Chase & Co. Pełny etat

    Are you problems' solver expert and want to explore your knowledge in Regulatory Capital rules? Our role is designed for you! As a Business Analyst in Capital Change team within the Treasury and the Chief Investment Office (TCIO) you will be responsible for maintaining the infrastructure required to support the calculation and reporting of Capital and...

  • Group Senior FP&A Manager

    1 miesiąc temu


    Warsaw, Polska Michael Page Pełny etat

    Lead Financial Planning & Forecasting: Oversee the budgeting, forecasting, and five-year planning for Balance Sheet, Cash Flow, and Capex, collaborating with FP&A, Treasury, and Reporting teams to optimize the Group's cash position.Month-End Reporting: Support consolidation of month-end accounts, providing clear insights into key business drivers and...

  • Senior FP&A Manager

    4 tygodni temu


    Warsaw, Polska Michael Page Pełny etat

    Financial Planning & Forecasting: Lead budgeting, forecasting, and five-year planning for Balance Sheet, Cash Flow, and Capex, enhancing the Group's cash position in collaboration with FP&A, Treasury, and Reporting teams.Reporting & Insights: Oversee month-end account consolidation, deliver clear business insights, and provide reports to senior...

  • Senior FP&A Manager

    4 tygodni temu


    Warsaw, Polska Michael Page Pełny etat

    Financial Planning & Forecasting: Lead budgeting, forecasting, and five-year planning for Balance Sheet, Cash Flow, and Capex, enhancing the Group's cash position in collaboration with FP&A, Treasury, and Reporting teams.Reporting & Insights: Oversee month-end account consolidation, deliver clear business insights, and provide reports to senior...


  • Warsaw, Polska Santander Pełny etat

    Specjalista / Starszy Specjalista Debt Capital Markets (DCM) (k/m)Country: Poland  MOC naszej pracy: masz szansę uczestniczyć w najciekawszych, największych i innowacyjnych transakcjach rynku obligacji w Polsce i rynkach międzynarodowych masz szansę dokładnie poznać rynek obligacji prowadząc projekty emisji obligacji samodzielnie lub pod...

  • Senior Relationship Manager

    6 miesięcy temu


    Warsaw, Polska Michael Page Pełny etat

    poszerzanie portfolio klientów korporacyjnych,inicjowanie transakcji finansowych we współpracy z Zespołem Sprzedażowym, Centralą i ekspertami produktowymiwspółpraca z biurem syndykatu, finansami aktywów i projektów, zespołem kapitału obrotowego, AML przy procesach transakcyjnych end-to-endwspółpraca z Treasury, CFO, GM w Grupietworzenie...


  • Warsaw, Polska Michael Page Pełny etat

    poszerzanie portfolio klientów korporacyjnych,inicjowanie transakcji finansowych we współpracy z Zespołem Sprzedażowym, Centralą i ekspertami produktowymiwspółpraca z biurem syndykatu, finansami aktywów i projektów, zespołem kapitału obrotowego, AML przy procesach transakcyjnych end-to-endwspółpraca z Treasury, CFO, GM w Grupietworzenie...


  • Warsaw, Polska VISA Pełny etat

    Job Description And Responsibilities The Software Engineering Development Director in Payment Products Development (PPD) will lead a Clearing and Settlement (CAS) team developing the Long-term Technology Architecture (LTA) for critical Treasury applications that support global financial settlement and reconciliation between Visa and its Clients and...

  • Finance Manager

    1 miesiąc temu


    Warsaw, Polska Michael Page Pełny etat

    Accountable for the production of accurate monthly accounts for the Country's Business in accordance with Company guidelines, policies and proceduresAccountable for the production of Statutory Financial Accounts in compliance with Local Accounting standards (Local GAAP) / IFRS / IAS)Accountable for the production of monthly accounts in accordance with US...

  • Finance Manager

    4 tygodni temu


    Warsaw, Polska Michael Page Pełny etat

    Accountable for the production of accurate monthly accounts for the Country's Business in accordance with Company guidelines, policies and proceduresAccountable for the production of Statutory Financial Accounts in compliance with Local Accounting standards (Local GAAP) / IFRS / IAS)Accountable for the production of monthly accounts in accordance with US...

  • Senior Finance Manager

    5 miesięcy temu


    Warsaw, Polska DLA Piper Pełny etat

    The roleThe Manager of the GSC Finance workstream will be responsible for ensuring the delivery of high quality finance support services from DLA Piper’s Global Service Centre to the firm’s International Finance Team, fee earners, partners and legal admin teams. The Manager will have extensive experience in a number of finance support areas including:...

  • Group Controlling Manager

    2 miesięcy temu


    Warsaw, Polska Michael Page Pełny etat

    Managing of the Controlling Department, developing of a target orientated structure and mindset within the team, reorganization of the current controlling functions both in financial and operational controlling;Driving significant improvement of internal and external management reporting (redefining reports structure and content) with reference to critical...

  • P2P Associate

    7 miesięcy temu


    Warsaw, Polska Zoetis Pełny etat

    AP Associate - Payments Responsibilities: Ensure all payments are processed upon approved invoices or other documents within the agreed timeframe Ensure all rejected payments are followed up to root cause and explained Together with Zoetis Treasury Teams (ZTC) maintain relationship with banks and ensure appropriate access and trainings ...