Treasury Specialist

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Angajator: EveryMatrix
Domeniu:
  • Asigurari - Intermedieri financiare
  • Banci
  • Contabilitate Finante
  • Tip job: full-time
    Nivel job: peste 5 ani experienta
    Orase:
  • BUCURESTI
  • Actualizat la: 15.12.2020
    Remote work: On-site
    Scurta descriere a companiei

    EveryMatrix is a leading B2B SaaS provider delivering iGaming software, content and services. We provide casino, sports betting, platform and payments, and affiliate management to 200 customers worldwide. The company is profitable, has over EUR 100m in annual revenues, and has 700 employees in offices across ten countries in Europe, Asia and the US. EveryMatrix was founded in 2008 and remained a founder-owned private company.

    Cerinte

    This role will play an important role in supporting company's strategy through the development of solutions and high-performance solutions to areas including the company’s capital structure, corporate finance, corporate cash management, foreign exchange, borrowing, and payment processing.

    Requirements:
    Hard Skills:
    • BSc/MSc in finance, accounting or relevant field;
    • Proven experience as treasurer or Cash Management experience – minimum 3 years;
    • Working knowledge of MS Office;
    • Great communication level in English;
    • Good with numbers and figures;
    • Knowledge of capital markets, accounting and business finance;
    • Experience with online banking research;

    Soft Skills:
     Excellent communication and interpersonal skills;
     Well-organized and reliable;
     Vigilance;
     Excellent analytical skills;
     Resourceful.

    Responsabilitati

    Responsibilities:
    • Analyse and manage the groups finance costs;
    • Assess risk and propose and manage countermeasures to e.g. the groups foreign currency exposure;
    • Plan, establish and maintain relationships with bank and other financial partners
    • Improve and implement money management procedures (banks and payment providers);
    • Improving the overall treasury activity;
    • Analyse historical cash flow and build model to forecast future cash flow;
    • Report periodically on various aspects like cash-flow, FX deals, fees, deposits, withdrawals;
    • Assist on group funding and M&A activity.

    Alte informatii

    Perks and benefits:

    Headquarters in the heart of the city, at Unirii Square
    Flexible schedule
    Private Medical Subscription
    Daily Catered Lunch
    Our own in-house gym, health & well-being programs
    Bookster subscription & Books corner (online and offline)
    Fun corner: pool, ping pong table, PS4, lots of board games
    Internal & external training
    Team Activities, Friday Bars, Summer Party & Christmas Party (we like to ‘Work hard, party harder’)
    Extra vacation days with every year inside the company
    Anniversary Gifts
    Fruits Tuesday

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