Treasury Analyst Americas
- Función del trabajo:
- Fecha de publicación:
- Fecha de finalización:
- ID:
- 2507040674W
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Lo que hacemos
En Kenvue, nos damos cuenta del extraordinario poder del cuidado diario. Sobre la base de más de un siglo de herencia y arraigados en la ciencia, somos el hogar de marcas icónicas, incluidas NEUTROGENA®, AVEENO,® TYLENOL,® LISTERINE,® JOHNSON'S® y BAND-AID® que ya conoces y amas. La ciencia es nuestra pasión; El cuidado es nuestro talento.
Quiénes somos
Nuestro equipo global está formado por ~ 22.000 personas brillantes con una cultura laboral en la que cada voz importa y cada contribución es apreciada. Nos apasionan las ideas, innovación y comprometidos con la entrega de los mejores productos a nuestros clientes. Con experiencia y empatía, ser un Kenvuer significa tener el poder de impactar a millones de personas todos los días. Ponemos a las personas en primer lugar, nos preocupamos ferozmente, nos ganamos la confianza de la ciencia y resolvemos con coraje, ¡y tenemos oportunidades brillantes esperándote! Únase a nosotros para dar forma a nuestro futuro y al suyo. Para obtener más información, haga clic en aquí.
Role reports to:
GER FINANCAS SRUbicación:
Latin America, Brazil, Sao Paulo, Sao PauloLugar de trabajo:
HíbridoWhat will you
The Treasury Operations Analyst Americas reports directly to the Sr Treasury Manager Americas and is responsible for all Treasury aspects of the affiliates within the Regional Treasury Services Center Americas. This includes assisting with the cash management activities, daily liquidity for affiliates, execution of payments, short-term forecasting and direct investments of the company’s surplus cash in appropriate fixed-income instruments.
The Analyst is also responsible for providing management insights regarding cash generation, risk, and cash management initiatives.
The position includes the following
Key responsibilities:
Ensure accurate daily management of cash position; implement improvements to processes and bank structure, challenge assumptions
Provide guidance on how to increase cash flow, decrease financial risk, improve efficiency, or provide additional value-added services
Assist with short-term forecasts and related processes, driving cash flow forecast accuracy
Key Banking contact: Support with the opening and closing of bank accounts as required; Bank fee analysis, set up and connectivity with internal systems, support cash reconciliation
Provide business partnering support to affiliates on foreign currency exposure management practices and provide guidance to improve compliance
Partner with affiliates to address and improve compliance with Treasury Worldwide Procedures
Maintain and optimize SOX plans and ensure execution of testing. Support audits
Maintain and optimize business continuity plans for cash management
Support Treasury Services systems-related and cash-management process-related projects
Position Requirements:
Strong analytic skills – Ability to standardize varying data process/inputs
Strong verbal, and written communication skills
Intellectual agility, curiosity, and creativity
Strong capabilities in MS Excel
Ability to develop strong working relationships with a broad range of individuals
Fluent in English as a minimum
1-3 years of experience
Preferred Requirements/Competencies
Bachelor’s degree in business administration, finance, accounting, or economics
Knowledge of cash management, accounting, finance, tax and banking relationships
Experience working with banking products and services
Experience in Treasury Operations or General Finance
Experience in Treasury Management Systems
Certified Treasury Professional
Fluent in Spanish
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