Job Description
This role is primarily responsible for handling operational and transactional tasks within the treasury function, ensuring the efficient execution of cash management, payments, and other treasury transactions.
Principal accountabilities
- Assist on daily cash management activities, including monitoring cash positions, forecasting cash flows, and ensuring the availability of funds for operational needs.
- Process, support and execute a variety of treasury transactions, such as payments, wire transfers, guarantees, LOC and any other financial or cash related transactions accurately and in a timely manner.
- Maintain and manage documentation related to treasury operations, including agreements, contracts, and compliance records, ensuring they are organized and readily accessible.
- Execute foreign exchange (FX) spot trades, FX hedges, maintenance of FX rates in systems and FX platforms administration.
- Collaborate on treasury projects aimed at improving operational efficiency enhancing controls, and supporting strategic objectives.
Qualifications
- Bachelor's degree in finance, accounting, business administration, or a related field.
- 2 to 4 years of experience in treasury operations or a related financial role.
- Advanced Excel.
- English B2 – C1.
Important notes:
* English level will be evaluated during the selection process.
* In case this offer fits your profile, you must send your resume in English.
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