Rdc - Bilingual Treasury Semisenior

Rdc - Bilingual Treasury Semisenior
Empresa:

Tmf Group


Detalles de la oferta

Wherever you're based and whatever your role at TMF Group, one thing's for certain: you'll be part of a truly diverse, global business and benefit from the many advantages that brings. Job Details Job no: 575083 Work type: Full time Location: Bogota, Colombia Categories: Client Accounting Office Location: Colombia Responsibilities Payments management: • Leading and overseeing the execution of payment confirmations prior to processing, ensuring adherence to established protocols and regulatory requirements. • Taking in charge of validating and confirming payment data input into the virtual banking platform, treasury management system (TMS) or financial software, conducting thorough reviews to ensure accuracy and completeness. • Strategically managing funds availability and liquidity, implementing advanced forecasting techniques and cash management strategies to optimize working capital and minimize financial risk. • Assurance SLA´s (Services Level Agreement) with Local Office and clients. Bank reconciliation: • Leading the reconciliation of bank accounts and financial statements, proactively addressing discrepancies and implementing controls to mitigate risks associated with cash and treasury operations. • Acting as a primary point of contact for banking relationships, negotiating terms and conditions, and resolving complex issues or inquiries in collaboration with senior management. • Developing and implementing treasury policies, procedures, and controls, ensuring alignment with industry best practices and regulatory standards. • Providing strategic insights and recommendations to senior management on treasury-related matters, including liquidity management, capital allocation, and investment opportunities. • Maintaining awareness of market trends, regulatory developments, and industry benchmarks, and incorporating relevant insights into treasury strategies and decision-making processes. General responsibilities: • Providing expert guidance and support to junior team members in analyzing cash flow forecasts, interpreting variances, and identifying opportunities for improvement in cash management practices. • Maintaining cordial communication with The Local Office and internal areas to guarantee the compliance of client activities. • Complying with Enate requirements and completion of times in Chronos. • Participating in the Local Offices and Colombia training to know details of procedures. • Reporting about the monthly state of SLA´s to the Treasury Supervisor. Qualifications & Experiences Required • Bachelor's degree in Finance, Accounting, Economics, or related field; advanced degree or professional certification (e.g., CFA, CTP) preferred. • Minimum of 5 years of progressive experience in treasury management or related financial roles, with demonstrated expertise in cash management, liquidity forecasting, and financial risk mitigation strategies. • In-depth knowledge of treasury operations, financial instruments, and market dynamics, including proficiency in analyzing and interpreting complex financial data. • Extensive experience with treasury management systems (TMS), banking platforms, and financial software applications, with the ability to leverage technology to optimize treasury processes and workflows. • Proven track record of developing and implementing treasury strategies to optimize cash flow, minimize financial risk, and maximize returns on investments. • Strong analytical and problem-solving skills, with the ability to assess financial risks and opportunities, develop actionable insights, and make strategic recommendations to senior management. • Excellent communication and interpersonal skills, with the ability to effectively collaborate with cross-functional teams, senior executives, and external partners. • Leadership experience, with the ability to mentor and develop junior team members, foster a culture of continuous improvement, and drive organizational change initiatives within the treasury function. • Strategic mindset with a focus on innovation and business growth, coupled with the ability to anticipate and adapt to changes in the economic and regulatory environment. • Strong ethical standards and commitment to regulatory compliance, with a thorough understanding of relevant laws, regulations, and industry best practices governing treasury operations. • Fluent in English, both written and spoken (B2), with the capacity to articulate complex ideas and strategies clearly and concisely. Advertised: 30 Sep 2024 SA Pacific Standard Time Applications close: 30 Oct 2024 SA Pacific Standard Time #J-18808-Ljbffr


Fuente: Whatjobs_Ppc

Requisitos

Rdc - Bilingual Treasury Semisenior
Empresa:

Tmf Group


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