Company
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YOUR DAILY ADVENTURES WILL INCLUDE:
Cash management, forecasting and liquidity steering of FREENOW legal entities, short and mid term cash forecasting, based on historical figures and by making use of our Treasury Management system Kyriba.
Based on the internal treasury principles & policies and systems infrastructure, set up payout processes from an operational excellence perspective, also considering internal controls and compliance matters. Run and be accountable for day to day payout processes and activities for Vendors, Taxes, social Security, Payroll and Drivers in coordination with other departments, such as Accounting, Payroll, FinTech, making sure they are performed OTIF.
Implement, set up and maintain systems infrastructure for the Treasury department, mainly Treasury Management System and online banking platforms and coordinate funding activities with Accounting, Tax and Legal teams.
Manage bank account master records, proceeding with the opening, closing and maintenance of bank accounts within treasury systems. Coordinate and perform mandatory administrative tasks requested by banks such as: KYC, AML and FCA, in order to ensure compliance with local legal regulations.
Last but not least, be the first focal point for any operational Treasury topic inside our organisation and banks.
TO BE SUCCESSFUL IN THIS ROLE:
BENEFITS & PERKS IN A NUTSHELL:
Plus more local benefits depending on your work location!
*in one of the 10 countries where we have a legal entity: France, Spain, Germany, Austria, Portugal, Italy, England, Ireland, Poland & Greece
DIVERSITY, EQUITY & INCLUSION:
FREENOW is an equal opportunity employer and we consider qualified applicants regardless of race, religion, national origin, gender, gender identity, sexual orientation, disability or age.
We want you to grow and evolve, .
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