Tirane, ofroj vend pune Treasury Manager
- Tirane
- Tipi
-
- me orar te plote
- Fusha | Profili i punes
-
- Finance-Banke | Sigurime
- Gjuha
-
- Gjuha?
- Eksperienca
- vetem me eksperience
[FONT="]Balfin Group has an open vacation:[/FONT]
[FONT="]Job position: [/FONT][FONT="]Treasury Manager[/FONT]
[FONT="]Reports[/FONT][FONT="]: CFO of Balfin Group[/FONT]
[FONT="]Department: [/FONT][FONT="]Finance[/FONT]
[FONT="]Location: [/FONT][FONT="]Tirana[/FONT]
[FONT="]Duties and Responsabilities:[/FONT]
- [FONT="]Understand, manage, and supervise all aspects of Group cash flows; [/FONT]
- [FONT="]Forecast daily cash requirements and anticipate challenges arising from limited cash flows;[/FONT]
- [FONT="]Manage all aspects of In-house investment portfolios;[/FONT]
- [FONT="]Provide support in defining long-term and short-term investment strategies; [/FONT]
- [FONT="]Review and recommend changes to the investment policies based on the market conditions; [/FONT]
- [FONT="]Prepare and monitor Group company’s various cash flow forecasts and perform financial modeling;[/FONT]
- [FONT="]Evaluate, develop and implement cash management systems to optimize efficiencies; [/FONT]
- [FONT="]Understand and manage appropriate accounting procedures and processes;[/FONT]
- [FONT="]Manage relationships with financial service providers; [/FONT]
- [FONT="]Monitor bank service fees and address quality issues;[/FONT]
- [FONT="]Evaluate alternative long-term borrowing strategies and make recommendations in accordance with the capital structure; [/FONT]
- [FONT="]Recommend, implement and maintain process improvements;[/FONT]
- [FONT="]Establish and maintain short-term credit availability, including revolving credit agreements and commercial paper programs, to provide liquidity for the Group;[/FONT]
- [FONT="]Direct cash management for the Group including forecasting, collection, disbursement, investment of excess funds, short term borrowing and interest rate management;[/FONT]
- [FONT="]Facilitate the Group’s relationships with commercial banks, credit rating agencies, payment service providers and lenders;[/FONT]
- D[FONT="]evelop everyday cash position report comprising of forecasting every week cash receipts plus disbursements;[/FONT]
- [FONT="]Advice on, and supervise cash flows transactions between Group companies to optimize cash balances and needs;[/FONT]
- [FONT="]Support to manage short-term investment balances along with interest recording;[/FONT]
- [FONT="]Maintain correct estimate of cash balances;[/FONT]
- [FONT="]Report on Group’s exposure to financial institutions, propose improvements and solutions regarding securities available;[/FONT]
- [FONT="]Monitor strictly expiry dates and take actions in due time for renewals of financial instruments;[/FONT]
- [FONT="][FONT="]S[/FONT]upport Group companies in dealing with commercial banks;[/FONT]
- [FONT="]Supervise and manage all national and international cash balances efficiently;[/FONT]
- [FONT="]Provide inputs and advice to Group companies. This could include recommending changes that will maximize revenue and profit;[/FONT]
- [FONT="]Responsible for interest and debt analysis, with provision of relevant information and report;[/FONT]
- [FONT="]Report and monitor specific payment arrangements between Group companies and third parties, follow ups on execution;[/FONT]
- [FONT="]Responsible for following up on financial proceedings and ensuring tasks are completed on schedule.[/FONT]
- [FONT="]Education: [/FONT][FONT="]Bachelor degree in Business or Finance required. Master’s degree in Business or Finance preferred.[/FONT]
- [FONT="]Work Experiences: [/FONT]
· [FONT="]At least 7-10 years of progressive experience in Accounting with a strong emphasis on the Treasury function; [/FONT]
· [FONT="]At least 2-3 years of management experience.[/FONT]
[FONT="]Requirements:[/FONT][FONT="]
[/FONT]
- [FONT="]Knowledge of investment portfolio products, banking, and financial instrument;[/FONT]
- [FONT="]Must have strong analytical/quantitative skills and experience with a multi-site organization;[/FONT]
- [FONT="]Advanced spreadsheet and modeling skills;[/FONT]
- [FONT="]Experience in building complex financial models to evaluate various financial plans;[/FONT]
- [FONT="][FONT="]E[/FONT]xperience in presenting and preparing proposals to recommend new products/services;[/FONT]
- [FONT="]Experience in leading, coaching and developing staff;[/FONT]
- [FONT="]Interested in process improvement;[/FONT]
- [FONT="]Internally motivated to seek out answers, generate ideas, and develop new skills;[/FONT]
- [FONT="]Excellent command of English language.[/FONT]
[FONT="]Work conditions[/FONT][FONT="]: Balfin Group offers an attractive benefit package, including a fair remuneration based on merit and performance evaluation.[/FONT]
[FONT="]Application Procedure*[/FONT][FONT="]:[/FONT]
[FONT="]To apply for this position, please submit a CV and a Motivation Letter before: December 14th, 2015 to Human Resources Department through email address: [/FONT][FONT="]hr@balfin.al[/FONT]
[FONT="]*[/FONT][FONT="] All applications will be treated with strict confidentiality according to the law No. 9887 set by the Albanian Parliament for the "Protection of Personal Data".
View attachment 311945
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