Treasury Analyst

Key Responsibilities

1. Cash and Liquidity Management

  • Prepare and update the daily Group cash position across holding and operating entities.
  • Monitor daily transactions and MT940 bank statements within the TMS.
  • Perform overdraft (OD) and revolving credit facility (RCF) reconciliations.
  • Maintain and report on Group fixed deposits, ensuring optimal liquidity utilization.
  • Support initiatives for cash and bank balance optimization across the Group.

2. External Debt Management

  • Track daily debt movements and update all related information in the TMS.
  • Manage RCF tranches and rollovers, including documentation, interest calculation, and drawdown processes.
  • Support new loan drawdowns, repayments, and facility documentation.
  • Maintain accurate loan schedules, repayment plans, and covenant tracking.

3. In-House Banking

  • Prepare monthly statements of account (SOA) and calculate intercompany loan interest.
  • Manage ICO loan creation, rollovers, rate resets, and balance updates in the TMS.
  • Maintain an accurate ICO loan repository and ensure timely communication of interest details.
  • Coordinate interest settlements and ensure all intercompany funding transactions are properly recorded.

4. Risk Management

  • Collect FX exposure data from entities and prepare a consolidated Group FX exposure report.
  • Execute and record FX spot and forward deals in the TMS.
  • Conduct mark-to-market (MTM) valuations and manage documentation for interest rate swaps (IRS) and other derivatives.
  • Support payments and documentation for all derivative transactions.

5. Liquidity Planning

  • Collect cash flow forecasts (CFF) from Group entities and review submissions for accuracy.
  • Consolidate Group-level cash flow forecasts and analyze short-term and medium-term liquidity needs.
  • Engage with entities to align forecasts with the Group’s funding and investment strategies.

6. Payments

  • Execute treasury and administrative payments, including ADGTEC, EIB, CBD, and SCB accounts.
  • Process payroll funding, intercompany settlements, and internal funding transfers.
  • Ensure compliance with Group treasury controls and payment authorization policies.

7. Digitalization, TMS and Projects

  • Administer the Treasury Management System (TMS), covering modules such as cash balances and pooling, debt, intercompany loans, FX and derivatives.
  • Support digitalization initiatives, including TMS–ERP integration and cashflow automation projects.
  • Produce Power BI reports and dashboards to support data-driven treasury insights.

8. MIS and Reporting

  • Prepare daily and periodic NFP (Net Financial Position) reports.
  • Deliver pre-cashflow and post-cashflow MIS reports to management.
  • Calculate financial covenants and assist in the preparation of the Group Treasury Scorecard.
  • Provide timely and accurate treasury analytics to support management decision-making.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, or related field
  • 3 to 5 years of relevant experience in corporate treasury or banking within a multinational environment.
  • Strong understanding of cash management, liquidity planning, FX, and debt instruments.
  • Hands-on experience with Treasury Management Systems (e.g., Kyriba, Quantum, SAP TMS) and ERP platforms.
  • Advanced Excel and Power BI skills with the ability to translate data into insights.
  • Strong analytical, organizational, and problem-solving abilities.
  • Excellent communication and interpersonal skills, with the ability to collaborate across functions and geographies.

APPLY NOW


Leave a Reply

Your email address will not be published. Required fields are marked *