Treasury Manager
Matrix Renewables
- Madrid
- Permanente
- Tiempo completo
- Design, implement and ensure compliance with the treasury policy.
- Implement the cash management tool, as well as the associated processes and controls: payments, accounting, forecasts, reporting, currency operations, etc.
- Ensure the availability of sufficient funds to cover operational and capital investment needs.
- Design - along with structured Finance, tax and legal – the financing structure in each country / entity (capital, loan, S/H loan, credit lines, S/H contribution).
- Manage the transactions and bank accounting.
- Prepare key financial reports (daily position, cash flow actuals and forecasts, etc.).
- Be an active member of the cash management committee.
- Degree in Business Administration, Economics or a related field.
- Minimum experience of 10 years leading treasury departments.
- Knowledge of financing facilities – confirming, letters of credit, cheques, etc.
- Knowledge of accounting.
- Experience implementing cash management solutions.
- Fluent Spanish and English.
- Full-time position.
- Professional with strong results orientation, flexible, organized, and diligent with deadlines. Someone who enjoys working in a highly collaborative and positive work environment.