Treasury and Cash Planning Advisor ET917

Shell

  • Buenos Aires
  • Permanente
  • Tiempo completo
  • Hace 1 día
Accountabilities:- Preparation and analysis of the company's Cash Flow (daily position and short-term forecast).
- Management and optimization of bank balances, investment and financing accounts.
- Use of online banking / treasury platforms.
- banking entities, Control entities and Auditors / External Consultants.
- suppliers and customers.
- Internal support areas (Commercial, Legal, Accounting, Human Resources).**Requirements**:
Degree in Economics, CPA and or business administrationProficiency/advanced level of oral and written EnglishAdvanced in Excel+ 5 years of experience.Additional Information:
Postgraduate / Master in FinancePrevious experience in TreasurySAP Knowledge

Kit Empleo

Empleos similares

  • Key Account Manager (Cash & Carry)

    Beiersdorf

    • Buenos Aires
    Overview Join to apply for the Key Account Manager (Cash & Carry) role at Beiersdorf . Responsibilities Liderar y ejecutar planes estratégicos con clientes clave, impulsando…
    • Hace 8 horas
  • ZFU816] Finance Cash Reporting

    • Buenos Aires
    Resumen del puesto Director de Finanzas especializado en cash reporting y planeación financiera, con experiencia en gestión de liquidez, optimización del capital de trabajo y aná…
    • Hace 1 día