Treasury Analyst
Adaugat: 3 săptămâni în urmă
Vertiv Group Corp
Treasury Analyst
Adaugat: 3 săptămâni în urmă
Vertiv Group Corp
Acest anunt este cu aplicare externa. Cand dati click pe Aplicare Externa veti fi redirectionat pe un alt site pentru a aplica.
What will you do in our team? ?
- Cash management and operations. Work with the Cluj-based Corporate Treasury team to perform the day-to-day operations of the in-house bank, including funding procedures, cashpool operations, intercompany loans, and netting procedures
- Treasury projects. Participate in improvement projects for the EMEA and global Corporate Treasury function, working with EMEA and global treasury team members, plus other stakeholders within Vertiv and externally as needed.
- Provide electronic banking and other administrative support
- Banking partners. Liaise and build relationships with Vertiv’s banking partners to achieve cash management objectives and deliver successful project outcomes
- Forecasting and FX. Assist with preparation and review of cashflow and foreign currency forecasts for the in-house bank and other stakeholders as required
- Fulfil regional or global treasury reporting requirements as needed
Sfaturi de siguranta
- Nu trimiteti niciodata BANI in avans sau acte de identitate pentru aplicarea la un loc de munca. Nu trimiteti bani in avans pentru promisiuni de angajare sau alte oferte similare.
- Daca aveti impresia ca acest anunt nu este real, va rugam sa il raportati apasand butonul "Raporteaza Job"
This action will pause all job alerts. Are you sure?
Fii informat
Aboneaza-te la newsletter-ul nostru si primeste cele mai recente oferte de munca si informatii despre cariera direct in inbox-ul tau.
Securitatea datelor dumneavoastra este importanta pentru noi. Citeste Politica de confidentialitate.