Грейт Волл Мотор Рус

Treasury Analyst

Не указана
  • Москва
  • Полная занятость
  • Полный день
  • От 3 до 6 лет

RESPONSIBILITIES:

  • Review Treasury Accounting monthly close records incl. its consolidated subsidiaries (incl. 1C, SAP Treasury)
  • Perform reporting detailed issues in accordance with IFRS
  • Participate and maintain short- and long- term Consolidated Cash Flow model
  • Support banking relations according to strategic decisions negotiate service fee to support company’s yield
  • Prepare daily cash positioning in order to optimize liquidity
  • Coordinate with accounting AP/AR for reconciliations and reporting
  • Analyze FX, interest rate risk and hedging strategies
  • Exposure to ERP integration with treasury functions

REQUIREMENTS:

  • Experience with Cash reporting, forecasting and FX risk
  • Advanced Excel and financial modelling capabilities
  • Attention to detail and a high degree of accuracy
  • Knowledge of regulatory compliance related to treasury operations

BENEFITS:

  • Office on station m. Botanichesky Sad, 3 min on foot from the metro
  • Flexible start of the working day (from 8-00 to 09-30), work schedule - 5/2
  • Social package (food compensation, voluntary health insurance)
  • Competitive salary, performance bonus
  • Opportunity for professional development and growth in a dynamic and fast-growing Company