The Treasury Specialist is responsible for overseeing the financial assets, cash flow, and risk management of the organisation.
Reporting to the Finance Corporate Director, the ideal candidate will have :
Key Responsibilities :
Cash Flow Management : Monitor and forecast cash flow to ensure adequate liquidity for operational and capital needs.
Financial Risk Management : Identify and mitigate financial risks, including currency and interest rate risks, through appropriate hedging strategies.
Debt & Financing : Oversee debt obligations, coordinate financing activities, and ensure compliance with loan agreements.
Budget & Forecasting Support : Work closely with the finance team to align treasury operations with budget planning and financial projections.
Regulatory Compliance : Ensure adherence to financial regulations, internal controls, and reporting requirements.
Payments & Collections : Oversee payment processing, collections, and reconciliation to improve cash management efficiency.
Qualifications & Skills :
Bachelor's degree in Finance, Accounting, Economics, or a related field (Master’s or CFA is a plus).
2 - 3 years of experience in treasury, banking, or corporate finance.
Strong knowledge of cash management, investments, and financial risk assessment.
Basic Accounting knowledge.
Experience in the education sector is a plus.
Proficiency in financial modeling and treasury management systems.
Excellent analytical, problem-solving, and communication skills.
Fluency in both Spanish and English.
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Treasury Specialist • Madrid, Madrid, SPAIN