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Treasury Specialist (M/F)

Michael Page Portugal

23.10.2025 | Lisboa | Referência: 2318712


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Treasury Specialist  (m/f)

Referencia: JN -102025-6866593
Adicionado em 23.10.2025
Sobre os nossos clientes
* Our client is a multinational retail company.

Descriçăo da oferta
  • The professional will play an active role across four key areas of the Treasury function: Daily Treasury Operations, Financial Risk Management, Treasury Systems and Processes, and Financial Reporting.

Principais responsabilidades

  • Supervise and monitor daily cash inflows and outflows, ensuring the reliability of treasury positions;
  • Guarantee the accuracy of funding flows and adherence to repayment deadlines;
  • Ensure sufficient liquidity to cover working capital and capital needs;
  • Prepare and monitor short- and medium-term cash flow forecasts;
  • Continuously optimize treasury processes and support automation initiatives.
  • Identify, assess, and mitigate financial risks in close collaboration with the Group Treasury;
  • Implement internal control best practices and actively contribute to fraud prevention;
  • Support management of foreign exchange and interest rate exposures, proposing hedging strategies where necessary.
  • Maintain treasury policies and procedures ensuring compliance with internal controls and group standards;
  • Participate in the implementation of new financial systems and treasury management tools (TMS);
  • Support local and group-level process improvement and digital transformation initiatives.
  • Contribute to monthly and annual closing processes by validating and reconciling treasury-related accounts (bank accounts, loans, interest, intercompany balances, etc.);
  • Report on financing positions and maturity schedules;
  • Analyze financial results, identify improvement actions, and contribute to financial forecasting and budgeting.

Perfil desejado

  • Degree or Master's in Finance, Management, Economics, or a related field;
  • Minimum of 2 years of professional experience in Treasury, ideally within a multinational environment;
  • Strong knowledge of cash management, liquidity planning, and treasury reporting;
  • Familiarity with IFRS and local GAAP;
  • Advanced Excel skills; experience with Google Sheets and ERP/TMS systems (SAP, Kyriba, etc.) is a plus;
  • Excellent analytical, problem-solving, and organizational skills;
  • High level of integrity, attention to detail, and results orientation;
  • Strong interpersonal and communication skills;
  • Interest in automation, digitalization, and process improvement;
  • Fluency in English (mandatory);
  • Availability to travel occasionally throughout the year.

Benefícios adicionais

  • Integration in a dynamic and collaborative team within a leading multinational;
  • Opportunity to take part in challenging projects with international exposure;
  • Competitive compensation package;
  • Regular performance feedback and continuous learning opportunities.


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