Treasury Analyst (Treasury, Cash Management, Back Office)

extra holidays
Work set-up: 
Full Remote
Contract: 
Experience: 
Senior (5-10 years)
Work from: 

Offer summary

Qualifications:

Master's degree in finance or treasury., 7-10 years of experience in an international company or treasury-focused audit/consulting firm., Technical expertise in cash management, treasury systems, and payment methods., Excellent communication skills in English and Spanish, French is a plus..

Key responsibilities:

  • Manage daily cash flow and optimize liquidity across currencies.
  • Control and validate financial operations and ensure proper execution of payments.
  • Administer treasury IT systems and support user training and system development.
  • Collaborate with subsidiaries and internal teams to improve treasury processes.

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Inetum XLarge http://www.inetum.com
10001 Employees
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Job description

Descripción de la empresa

En Inetum Consulting, la división de consultoría de negocio de una gran compañía tecnológica, ayudamos a nuestros clientes a impulsar su transformación con una visión estratégica, una digitalización efectiva y el uso inteligente de los datos.

Formamos parte de una consultora digital ágil e internacional con más de 27.000 profesionales en 27 países, reconocidos como Top Employer Europe 2025. Nuestro modelo de consultoría se basa en la cercanía, la confianza y la innovación continua.

Buscamos personas apasionadas por la consultoría y los negocios, con ganas de crecer, asumir nuevos retos y llevar su carrera al siguiente nivel.

Descripción del empleo

As part of the groups expansion, we are seeking a Senior Cash Management, Systems & Back Office Treasurer for our Group Financing and Treasury Department. Although the department is situated in Paris, France, the position will be based in Madrid to enhance the corporate scope of the Group, particularly since the IberiaLatam areas account for half of the Groups operations.

The position would be under the supervision of the Head of Cash Management, Systems & Back Office Manager, the main tasks will focus on three areas: cash management, back office, and IT system administration.

Cash Management:

  • Manage daily cash flow with a target of zero cash balance and minimize financial and banking fees.
  • Establish the Group Treasurys liquidity position in different currencies.
  • Ensure the proper execution of payments and management of bank balances.
  • Optimize and improve intraGroup liquidity management performance.
  • Liaise with subsidiaries on cash management (cash management, foreign exchange) and assist them in optimizing their daily liquidity management.
  • Monitor and control banking fees across the Group to ensure continuous rationalization.
  • Participate in the daily cash forecasting process in coordination with Front, Middle Office, and subsidiaries.
    • Back Office:

      • Control, validate, and follow up on financial operations initiated by the Front Office.
      • Systematically document market operations.
      • Ensure the security and proper execution of all group payment operations.
      • Maintain and update procedures and controls related to Cash Management and Back Office.
      • Participate in the dissemination of best practices in internal control, task segregation, and fraud prevention.
      • Participate in team projects: bank tenders, process optimization, inclusion of new companies, etc.
      • Review and update guides, operating procedures, and documentation.
        • Treasury IT Systems Administration:

          • Administer treasury IT systems (treasury software, banking communication platform, market data management software).
          • Provide support to treasury system users.
          • Train users (FTD and subsidiaries) on treasury IT systems.
          • Participate in treasury IT system development projects.
          • Gather user needs (FTD, Accounting), implement functional changes internally or with software vendors.
          • Maintain daily contact with the IT department and software vendors.
          • Draft specifications, procedures, and operating manuals.
          • Provide functional support for testing and validating system changes.
            • Requisitos

              Required Skills:

              • Masters degree in finance andor treasury.
              • 710 years experienced in an international company or an auditconsulting firm specializing in treasury.
              • Skills such as teamwork, stress management, autonomy, determination, rigor and organization, curiosity, and communication and negotiation abilities are appreciated for this position. Proven capacity to work under a highly leveraged environment is beneficial.
              • Technical skills like expertise in Cash Management, pooling techniques, knowledge of treasury systems (Kyriba is a plus), mastery of payment methods, and project management are necessary for success in this role.
              • Excellent written and verbal communication skills in English and Spanish (French is a plus).
                • Información adicional

                  Working Conditions:

                  • Fulltime position based in Madrid, Spain.
                  • Trips to Paris few times a year
                  • Opportunity to work in an international and multicultural environment.

Required profile

Experience

Level of experience: Senior (5-10 years)
Spoken language(s):
EnglishSpanish
Check out the description to know which languages are mandatory.

Other Skills

  • Communication
  • Negotiation
  • Teamwork
  • Persistence
  • Stress Management
  • Curiosity
  • Teamwork
  • Communication
  • Problem Solving

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