Interim Senior Treasury Analyst (M / K)
Warszawa, PolskaNajważniejsze cechy oferty
Min. 5 lat doświadczenia
Współpraca: Kontrakt B2B
Praca zdalna - bez dojazdów
Pełny etat
Karta sportowa
Description
Location: 100% remote Contract Type: B2B contract (Interim Assignment) Duration: 4-month contract
Branża
Finanse
Requirements
3-5 years of experience in Treasury, Cash Management or Financial Analysis
Strong cash forecasting and liquidity management experience
Experience in a multinational/corporate environment
About the role
We are currently supporting a leading international organisation in the search for an experienced Senior Treasury Analyst to join the Treasury team on an interim basis.
This role has been created to provide additional support across treasury operations, cash management, liquidity reporting, forecasting, banking activities and treasury controls during a period of increased business activity. The successful candidate will be a hands-on treasury professional, capable of working independently and managing multiple priorities in a dynamic environment.
What we offer
Fully remote arrangement
Opportunity to work with a leading international organisation
Challenging and varied treasury responsibilities with a high level of exposure to senior stakeholders
Ongoing support from the ManpowerGroup team throughout the project
ManpowerGroup benefits package: co-funding for a MultiSport card, private medical care, group life insurance, access to the MyBenefit platform, and the ManpowerGroup Premium discount programme, offering attractive discounts on products and services from a wide range of retailers, sports facilities, theatres, restaurants, and other partners
Interested? We'd love to hear from you. Apply now or contact us for a confidential discussion.
Manpower (Agencja zatrudnienia nr 412) to globalna firma o ponad 70-letnim doświadczeniu, działająca w 82 krajach. Na polskim rynku jesteśmy od 2001 roku i obecnie posiadamy prawie 35 oddziałów w całym kraju. Naszym celem jest otwieranie przed kandydatami nowych możliwości, pomoc w znalezieniu pracy odpowiadającej ich kwalifikacjom i doświadczeniu. Skontaktuj się z nami - to nic nie kosztuje, możesz za to zyskać profesjonalne doradztwo i wymarzoną pracę!
Advanced Excel skills
Strong analytical and stakeholder management skills
Experience with Treasury Management Systems and online banking platforms
Power BI experience is a plus
Key responsibilities
Cash flow forecasting and liquidity reporting
Monitoring cash positions and group liquidity
Treasury operations and banking support
Intercompany funding analysis and reporting
Variance analysis and management reporting
Process improvements, automation, and documentation
Collaboration with FP&A, Accounting, Tax, AP and AR teams