Москва
International Pharmaceutical Company is in search of Treasury Analyst.
Key responsibilities:
- Execution of payment activities, including transfers between own bank accounts, intercompany loans, deposits settlements, FX buy-sell and other treasury transactions;
- Regular reconciliations of cash balances in banks with accounting data;
- Management of bank accounts (opening/closing) and banking powers of attorney;
- Maintenance of local banking tools, consult & support on web-banking systems;
- Currency control: ensures timely reporting as per currency control legislation;
- Coordinate and drive all processes related to Federal Treasury for direct tenders to ensure on- time cash movements;
- Contribute to Cash Management and Forecasting: accurate cash forecasts, analysis of variances;
- Treasury reporting;
- Support implementation of working capital optimization initiatives;
- Review and update of local treasury working instructions and exceptions to Corporate Treasury policies, when applicable;
- Ensures compliance of local treasury activities;
- Support of External and Internal audits, Tax requests by providing requested items and thoroughly responding to questions;
- Participate in projects to improve Treasury processes.
About You:
- Higher education in Finance & Economics (ACCA/CPA/CFA certificates as a plus);
- Work experience: at least 3 years of proven experience in Finance department in a multinational company: Treasury, Accounting, FP&A or FBP areas.
Soft skills:
- Result driven (goal oriented, strong ownership) and able to act autonomously (self-driven);
- Reliable, details oriented, adds value and brings structure;
- Intellectual agility, curiosity and creativity;
- Ability to develop strong working relationships with a broad range of individuals in an international environment.
Technical skills:
- Knowledge of SAP CEP is a plus;
- Good Accounting knowledge (IFRS, Statutory);
- Good English communication skills, both verbal and written;
- Strong analytic skills – ability to standardize varying data process/inputs;
- Strong capabilities in MS Excel, knowledge of PowerPoint as a plus;
- Experience in electronic banking systems, internal Treasury reporting systems as a plus.