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Job description

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Treasury Clerk With a High Level of English and Portuguese

Ubicación: Lisboa, Portugal

Departamento: Finanzas y Legal

Salario: Competitive salary


Our client is one of the leading passenger and light vehicle Rental Company. The company serves business and leisure customers through a network of more than 5300 rental outlets in 160 countries.


As a Treasury Clerk you will be responsible to provide accounting and reporting for treasury transactions.

Key Areas of responsibility:

- Coordinate and build relationships with banks
- Monitor and approve payment runs
- Maintain a daily short-term cash forecast and monitor and approve payment runs accordingly
- Monitor on a daily basis cash balances
- Maintain a liquidity forecast to ensure that payments can be funded on a medium term period range
- Optimize interest on all balances controlled by the SSC
- Optimize the transfer process of cash balances between organizations, initiating transfers where necessary -(manual cash pooling)
- Improvements to cash management systems and practices
- Review interest receipts and payments, in addition to bank charges to verify that amounts are in line with agreements with bank


We are looking for a professional with the following qualifications, experience and skills:


- High level of English and Portuguese
- Minimum of High School diploma


- At least 2 years cash management experience
- Experience of working with Oracle Financials is strongly regarded
- Good understanding of banking practices


- Good written, verbal and analytical skills
- Enthusiastic, positive attitude
- Proven ability to meet deadlines


- Opportunity to join a globally operating company
- Competitive salary


Fanni Peter
(+351) 211 450 153 (Ext. 205)

Placement agency Nº 9900000357
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