Nazwa pracodawcy:
METRO Global Solution Center Sp. z o.o.

Data dodania:
2024-12-22

Nr referencyjny:
9420049pra

Miejsce pracy:
Polska, Szczecin, Plac Brama Portowa 1
województwo: zachodniopomorskie

Kontakt:

METRO Global Solution Center Sp. z o.o.

Treasury & Payments Consultant

Opis stanowiska

Your main area of responsibility in this position will include:





  • Provide expert advice and support to the treasury and payments operational team, fostering their development and enhancing their skill sets.

  • Conduct training sessions on cash management practices, financial instruments, and compliance regulations.

  • Provide experienced guidance in onsite/online transition projects, including migration processes and documentation updates.

  • Be the part in back-up structure formation.

  • Lead the identification of opportunities to improve processes and reduce costs, driving solution development in collaboration with your Process Owner team.

  • Collaborate with the Process Owner team to implement standardization strategies and identify KPI opportunities.

  • Stay updated on market trends and regulatory changes affecting treasury operations.


Wymagania
We are inviting to this recruitment everyone who has: 


  • Proven experience (1+ years) in treasury management and payment processing/consultancy roles or a related financial role.

  • Prior experience in a consulting or advisory capacity is preferred.

  • Strong understanding of cash management practices, financial instruments, and compliance regulations.

  • Strong background in leading transition projects, including process migration and documentation management.

  • Experience in developing and implementing backup structures for operational continuity.

  • Proficiency in financial software and tools relevant to treasury & payments operations (e.g., ERP systems (SAP is a plus), treasury management systems).

  • Experience with data analysis and reporting tools, with strong Microsoft Excel skills.

  • Understanding of market trends and regulatory changes affecting treasury operations.

  • In-depth knowledge of risk assessment techniques and financial risk mitigation strategies.

  • Excellent analytical and problem-solving abilities.

  • Bachelor’s degree in Finance, Accounting, Business Administration, or a related field.

  • Strong attention to detail and accuracy in financial reporting and data management.

  • Proven ability to contribute to process improvement initiatives and standardization strategies.

  • Proactive and results-oriented with a strong sense of accountability.

  • Ability to work independently and as part of a team in a fast-paced environment.

  • Commitment to continuous learning and staying updated on industry best practices.

  • Strong communication skills, both written and verbal, to provide excellent service.

  • Strong collaborative skills to work effectively with cross-functional teams and stakeholders.


Oferujemy
Your benefits:


  • Stable employment in an international corporation, which is constantly growing.

  • Chance to expand knowledge and experience in various areas.

  • Private medical care and group insurance, also for family members.

  • Cash benefits as part of the Social Benefits Fund, i.e., Christmas allowance.

  • A monthly salary supplement for knowing an additional language.

  • Co-financed sports card.

  • Team and company integrations after hours. 

  • Hybrid or remote work.


Kontakt Aplikuj!


W zgłoszeniach prosimy o umieszczenie klauzuli o następującej treści: "Wyrażam zgodę na przetwarzanie moich danych osobowych dla potrzeb niezbędnych do realizacji procesu rekrutacji (zgodnie z Ustawą z dnia 10.05.2018 roku o Ochronie Danych Osobowych, Dz. U. 2018 r. poz. 1000)."