Cash Flow Management Expert

4 dni temu


Warszawa, Mazovia, Polska TN Poland Pełny etat

The EcoVadis Group is looking for a seasoned Treasury Manager to join our team in Poland. As a key member of the Group Accounting Director's team, you will be responsible for managing global cash flows, analyzing financial data, and making informed investment decisions.

Job Requirements:
  • Master's degree in Finance, Accounting or related field
  • At least 7 years of experience in treasury management
  • Excellent problem-solving and communication skills

Key Responsibilities:

  • Develop and implement cash management strategies
  • Analyze financial data to inform investment decisions
  • Collaborate with teams to ensure smooth financial operations


  • Warszawa, Mazovia, Polska Devire Pełny etat

    Join us as a Global Cash Flow Expert and play a critical role in shaping the future of our company's financial operations.Key Areas of FocusDevelop and implement strategies to optimize cash flow and improve working capital efficiency.Provide expert guidance and support to internal stakeholders on cash flow management best practices.Collaborate with external...

  • Cash Flow Expert

    1 dzień temu


    Warszawa, Mazovia, Polska Sagan World LLC Pełny etat

    Join Sagan World LLC as a Cash Flow Expert - Forecasting and Analysis. We are looking for a professional with expertise in cash flow management and financial analysis. The successful candidate will be responsible for preparing and managing 13-week cash flow projections.As a key member of the financial operations team, you will:Prepare and manage 13-week cash...


  • Warszawa, Mazovia, Polska Michael Page Pełny etat

    O naszym kliencieOur client, a major international company, is looking for a Cash Flow and Cash Management Analyst with French for their new Shared Services Center in Poland. This is an exciting chance to start and grow while establishing the process in this new SSC. The company offers a flexible work model that combines office and remote work (3x per week...

  • Cash Flow

    4 tygodni temu


    Warszawa, Mazovia, Polska TN Poland Pełny etat

    Role OverviewWe are seeking a skilled Cash Flow & Working Capital Analyst to join our team at Perrigo in Warsaw, Poland.About the RoleThis is an exciting opportunity to work on the analysis of working capital, cash and inventory for Perrigo Business Services in Warsaw, possibly for given countries / legal entities.Key ResponsibilitiesPrepare a 26-week cash...

  • Cash Flow Manager

    17 godzin temu


    Warszawa, Mazovia, Polska TN Poland Pełny etat

    Job Summary:We are looking for a highly skilled Financial Analyst to join our team as a Cash Flow Manager. As a key member of our finance department, you will be responsible for managing 13-week cash flow projections, conducting financial forecasting, and driving forecasting initiatives.Responsibilities:Manage 13-week cash flow projections to ensure...


  • Warszawa, Mazovia, Polska TN Poland Pełny etat

    Job SummaryCash Flow/Cash Management Analyst role seeks a finance professional to evaluate cash flow, working capital, and inventory performance. The ideal candidate will have four years of experience in finance or accounting, with expertise in cash flow forecasting and working capital optimization.Key Responsibilities:Conduct comprehensive evaluations of...


  • Warszawa, Mazovia, Polska TN Poland Pełny etat

    Job Title: Treasury / Cash Management ExpertThe role of a Treasury / Cash Management Expert is to manage the company's cash flow and ensure its liquidity.Key Responsibilities:Reconcile daily treasury bank statements and identify any discrepancies.Manage the company's cash position to minimize idle cash and ensure adequate liquidity.Oversee the local...


  • Warszawa, Mazovia, Polska TN Poland Pełny etat

    Position Description:We are seeking a Senior Financial Professional to join our team as a Cash Flow and Forecasting expert. As a key member of our finance department, you will be responsible for developing and implementing financial strategies that drive business growth.Responsibilities:Develop and implement financial strategies that drive business...


  • Warszawa, Mazovia, Polska TN Poland Pełny etat

    About the Role:This position is focused on financial planning and analysis, with a strong emphasis on cash flow management. You will work closely with leadership to develop and implement financial strategies that drive business growth.Key Tasks:Develop and manage 13-week cash flow projections.Conduct financial forecasting, budgeting, and variance...

  • Cash Flow Specialist

    1 dzień temu


    Warszawa, Mazovia, Polska GN Group Pełny etat

    About the RoleWe are seeking a highly skilled Cash Flow Specialist to join our team. In this role, you will be responsible for establishing credit terms for our customers, overseeing credit limit management, and managing the credit approval process.As a key member of our finance team, you will serve as the escalation point and approver for order release from...


  • Warszawa, Mazovia, Polska Perrigouk Pełny etat

    About the RoleThis is an exciting opportunity to join Perrigo as a Financial Analyst. In this role, you will play a critical part in shaping the future of our financial operations.You will be responsible for preparing cash forecasts, performing Operating Cash Flow analysis, and advising remediation actions. Your expertise will help drive results and shape...


  • Warszawa, Mazovia, Polska Perrigouk Pełny etat

    ResponsibilitiesThe successful candidate will be responsible for analyzing working capital, cash, and inventory for Perrigo Business Services in Warsaw. Key responsibilities include:Preparing cash forecasts for 26-week periodsPerforming Operating Cash Flow analysis and identifying variations to annual plansPreparing comprehensive reports with detailed...


  • Warszawa, Mazovia, Polska Strategy Pełny etat

    Cash Flow Coordinator Role: We're seeking an experienced Cash Flow Coordinator to join our team and contribute to the optimization of our financial operations.The successful candidate will have 1-2 years of experience working in accounting positions, preferably in Accounts Receivable or Credit Control. They should also possess good knowledge of Microsoft...

  • Global Cash Flow Manager

    1 dzień temu


    Warszawa, Mazovia, Polska Worldline Pełny etat

    Key Responsibilities:Contact customers via phone or email regarding unpaid invoices and overdue paymentsMaintain accurate records of customer interactions and transactionsCreate reports in MS Excel to analyze cash flow trends and identify areas for improvementMonitor incoming payments in SAP and reconcile customer accountsCollaborate with internal teams to...


  • Warszawa, Mazovia, Polska TN Poland Pełny etat

    Are you a driven individual looking for a new challenge? We invite you to apply for the position of Cash Management Specialist at TN Poland.About the Job:This role involves managing cash flow, ensuring accuracy in financial transactions, and driving process improvements to enhance overall efficiency.Your Key Responsibilities Will Be:Overseeing short-term...


  • Warszawa, Mazovia, Polska TN Poland Pełny etat

    We are looking for a talented individual to fill the role of Cash Management Expert. In this position, you will work on developing, implementing, and maintaining quantitative models for the Treasury function.You will be responsible for all quantitative aspects of margin modeling to improve optimization capabilities. The successful candidate will have a...

  • Financial Analyst

    7 dni temu


    Warszawa, Mazovia, Polska TN Poland Pełny etat

    We are looking for a talented Financial Analyst to support our team in working capital and cash management. As a Financial Analyst, you will be responsible for preparing cash balance forecasts, analyzing risks and opportunities, and performing Operating Cash Flow analysis.Key Responsibilities:Prepare cash balance forecasts for a period of 26 weeksAnalyze...


  • Warszawa, Mazovia, Polska Michael Page Pełny etat

    O naszym kliencieOur client is a global company, famous for their quality approach to business. They have an office in Warsaw, Poland, which is well communicated with various parts of the city.Opis stanowiska- Manage daily treasury bank reconciliation (actual vs forecast) and define appropriate actions on unreconciled items- Manage daily cash position to...


  • Warszawa, Mazovia, Polska GN Group Pełny etat

    Credit Control and Cash Flow Manager page is loadedCredit Control and Cash Flow ManagerApply locations Warszawa time type Full time posted on Posted 2 Days Ago time left to apply End Date: April 15, 2025 (24 days left to apply) job requisition id R24937GN is bringing people closer through deep intelligent hearing, audio, video, and gaming solutions. We are...

  • Global Cash Manager

    4 dni temu


    Warszawa, Mazovia, Polska TN Poland Pełny etat

    The EcoVadis Group is looking for a talented and experienced Treasury Manager to manage global cash flows and ensure the financial security of the company. As a key member of the Group Accounting Director's team, you will be responsible for analyzing current and future cash situations, preparing cash forecasts, and ensuring cash...