![The Social Hub Group](https://media.trabajo.org/img/noimg.jpg)
Treasury Manager
3 settimane fa
The Social Hub is looking for a Treasury Manager to join the Treasury team to help further build and professionalize the Treasury function in the company. In this role you will be responsible for the day-to-day management of the cash – and liquidity position of the group and all its subsidiaries across Europe. Important targets are to improve and automate cash flow forecasting and the establishment of high-quality treasury management information reporting. Also, you will be increasing the efficiency of the existing cash management landscape by reducing the number of banks TSH is working with across Europe and by optimizing a pan European cash pool. Finally, you will be contributing to large (re)financing projects across Europe.
The position is suited for an experienced treasury professional that is keen to use his or her knowledge to build up a high-class treasury function in a very dynamic and fast-growing international hospitality
and
real estate investment company.
You will be based at our office in Amsterdam where you’ll join the Capital Markets and Treasury team. You will report to the Director Capital Markets and Treasury, while working closely together with other finance teams such as Corporate Finance, Accounting as well as the Tax and Legal teams.
In Case You Don't Know Who We Are...
Known for being the rule breakers in hos
pitality, TSH
is
a fun, creative and inspiring environment where everyone can
work
,
stay, learn and play and most importantly – be themselves.
As a
n
employer
we look, act and think like a hotel, but instead we off
er
a lot more. Think
student accommodation
,
l
ong and short stay
options
,
gyms, talks, events, rooftop bar and eat & drink
escapes
as well as community and coworking spaces. Located
in
T
he Netherlands, Germany, Austria, Italy, France and Spain
with
several
new openings on the way
,
this hybrid
hospitality concept
may
ta
ke
root in the heart of Europe
,
but our plans are set for going global.
What You'll Do
Monitor day to day liquidity position of the group and ensure there sufficient funding available within all subsidiaries throughout Europe
Request equity funding from our shareholders on Group level if necessary and organize, execute, and document (inter)company funding
Set up and automate short term cash flow forecasting and provide input to Corporate Finance to create longer term cash flow forecasting
Optimize and manage a pan-European cash pooling solution
Actively manage excess cash positions in the group and optimize return
Manage group bank accounts and day to day relationship with our cash management banks, negotiate improved terms and conditions for cash management and deposits
Maintain intercompany and bank loan, cash, deposit, hedge instrument, and (corporate) guarantee positions in Kyriba, record movements, and reconciliation on these positions and movements with accounting.
Create and own a treasury management dashboard in Kyriba
Monitoring of interest rate and FX risk, setting up and running periodic sensitivity reports
Manage weekly payment process, management of FX positions (spot and forward)
Issuance of bank guarantees to support our European developments
Support the Capital Markets team in sourcing of new debt facilities and day to day management of the existing debt portfolio including KYC process requirements
Co-ownership of the group Treasury Management Policy together with the Director Capital Markets & Treasury
Ad hoc Treasury support on specific finance projects (Acquisitions, disposals, tax related a.o.) within the broader finance team beyond the scope of regular treasury activities.
Who You Are
>5 years of relevant experience in an international Treasury environment in a large or medium sized company. Experience working in an asset heavy company and / or a private equity owned company is a plus
Masters degree in Finance, (Business) Economics, or Accounting
Hands on experience in setting up cash flow forecasting and treasury reporting
Familiar with cash management and cash pooling documentation
You have an analytical mindset, a structured way of working, a strong attention to detail, and you are energized by continuously looking for ways to improve the efficiency and way of working in the treasury team
Excellent communicator (verbal and written), ability to adjust style of communication to both an internal as well as an external (banks, shareholders) audience
Highly skilled in Excel, experience with (the reporting module of) KYRIBA is a strong plus for this role
Fluency in English is essential, command of either Italian, French, and or Spanish is considered a plus
Willingness and ability to coach more junior team-members
What We Offer
The opportunity to work at a dynamic, multi-national company. Not just another hotel - we’re a game changing innovator, challenging every convention and defining the future
The chance to learn and grow in your role with the potential for future growth
Awesome discounts in all our properties in Europe and not just for you, but also for your friends and family
A wonderful workplace to call home, full of events, fun colleagues and all the other amazing salary/benefits stuff
We’re curious, conscious, and we celebrate all. We bring people together and are committed to providing the best space, experience and workplace for our entire connected community - no matter what age, gender, sexual orientation, ethnicity, national origin and all the other fascinating characteristics that make us different and makes you you.
#J-18808-Ljbffr
-
Group Treasury Manager
4 settimane fa
Rome, Italia TALENT4PEOPLE SRL A tempo pienoFor our client, an important multinational company, we are looking for: Group Treasury Manager Directly reporting to the Group Chief Financial Officer, the incumbent will constantly oversee and properly manage and the related perimeter of owned subsidiaries overseas and coordinate and preside over treasury activities and insurance programs at Group level,...
-
Treasury Specialist
2 mesi fa
Rome, Italia Manpower A tempo pienoA diretto riporto del Treasury Manager, la risorsa si occuperà della gestione tesoreria, registrazione incassi e della verifica dei pagamenti. Inoltre, presidierà la relazione con gli istituti bancari, oltre che, la gestione dello scaduto e dei piani di rientro con i clienti. In particolar modo, si occuperà della:- Registrazione della movimentazione...
-
Treasury Specialist
2 settimane fa
Rome, Italia Manpower A tempo pienoA diretto riporto del Treasury Manager, la risorsa si occuperà della gestione tesoreria, registrazione incassi e della verifica dei pagamenti. Inoltre, presidierà la relazione con gli istituti bancari, oltre che, la gestione dello scaduto e dei piani di rientro con i clienti. In particolar modo, si occuperà della:Registrazione della movimentazione...
-
Treasury Specialist
1 mese fa
Rome, Italia Manpower A tempo pienoA diretto riporto del Treasury Manager, la risorsa si occuperà della gestione tesoreria, registrazione incassi e della verifica dei pagamenti. Inoltre, presidierà la relazione con gli istituti bancari, oltre che, la gestione dello scaduto e dei piani di rientro con i clienti. In particolar modo, si occuperà della:Registrazione della movimentazione...
-
Finance Officer
2 mesi fa
Rome, Italia FAO A tempo pienoReporting Lines The Finance Officer (Treasury and Investment) reports to the Senior Finance Officer/Head of Treasury and Banking Operations Branch, Finance Division. Technical Focus The Finance Officer (Treasury and Investment) is responsible for supporting the daily activities of the Treasury and Banking Operations Branch, Finance Division. Key...
-
Junior Treasury Specialist
1 mese fa
Rome, Italia Giorgio Armani A tempo pienoThe Armani Group is a leading company in the fashion and luxury sector, with more than 8,000 employees. Its three core brands - Giorgio Armani, Emporio Armani and A|X Armani Exchange - are active in all the world's major countries, across many continents. With origins firmly rooted in Italy, but also with a cosmopolitan vision and culture, the company has...
-
Finance Manager
1 mese fa
Rome, Italia Avispa Technology A tempo pienoAvispa TechnologyFinance Manager (H)New York ,New YorkApply NowFinance Manager VIAJP00000973 (H) A leading digital streaming network is seeking a Finance Manager. The successful candidate you will own the direct cash actuals system generated reporting, reconciliations and accuracy. The Cash Ledger Project Manager will play a critical role in the Enterprise...
-
Director & Counsel - Global Merchant Services
3 settimane fa
Rome, Italia American Express A tempo pienoSearch by keyword (e.g. Design, Designer) Filters 626 open jobs.Upload your resume and we'll curate open jobs just for you Audit Senior Manager - Treasury (Liquidity) New York, New York, United States New York, United States Manager-Business Systems Dev Amex - for internal use only, Amex - for internal use only, Mexico Director, Enterprise Payments Risk and...
-
Finance Operations Manager, Italy
1 mese fa
Rome, Italia ION Group A tempo pienoAbout us: Cedacri is part of ION Group, a community of visionary innovators, dedicated to providing pioneering software and consultancy services to financial institutions, trading firms, central banks, governments, and corporations around the world. We strive to simplify the way people work. We do that by providing workflow and process automation software,...
-
Finance and Accountancy Manager
3 settimane fa
Rome, Italia Artsenzondergrenzen A tempo pienoCoordinating and supervising the accounting of the mission (accounting, treasury, audit procedures, etc.) according to the instructions of the Finance Coordinator. MSF is an international, independent medical humanitarian organization. We are a non-profit, self-governed worldwide movement of more than 63,000 people. We provide emergency medical assistance...
-
Chief Financial Officer
4 settimane fa
Rome, Italia Hmemetal A tempo pienoThe Chief Financial Officer will report to the Board and his/her mission is to drive and control outputs on the financial European area in order to support overall performance and create alert on the key critical issues. The manager will act as a real business partner for all functions, at European level, in order to improve the effectiveness of the problem...
-
Project Finance Manager
1 mese fa
Rome, Italia JUWI AG A tempo pienoJUWI has been present in the Italian market since 2007, it is based in Verona, in the north of the country, in an excellent position close to all major transport networks. JUWI brings together all the partners you need to complete your renewable energy projects.We build projects that integrate harmoniously with the environment. JUWI has the necessary...
-
Head of Finance Italy
3 settimane fa
Rome, Italia Brown-Forman Tequila México A tempo pienoHead of Finance Italy & AlpsMilano , ItalyWe believe great people build great brands. And we know there is Nothing Better in the Market than a career at Brown-Forman. Being a part of Brown-Forman means you will grow both personally and professionally. You will have the opportunity to solve problems, seize opportunities, and generate bold ideas. You will...
-
Junior Consultant
1 mese fa
Rome, Italia Prometeia A tempo pienoJunior Consultant - Financial Risk ManagementAre you curious? Would you like to get involved, become part of a dynamic company and have the opportunity to contribute to innovation with your work and your skills? Prometeia offers you growth and training opportunities in a Group with over 1000 professionals working with more than 500 clients in 20 countries...