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Manager I, Treasury Bilingual

Posted an hour ago
5-10 years experience
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AI Summary

The Treasury Manager will oversee daily cash and liquidity positions across EMEA operations while managing banking relationships and systems. They are responsible for executing foreign exchange trades, managing credit facilities, and ensuring compliance with statutory and corporate treasury policies.

Job Title:

Manager I, Treasury Bilingual

Job Description

We're Concentrix. The global technology and services leader that powers the world’s best brands, today and into the future. We’re solution-focused, tech-powered, intelligence-fueled. With unique data and insights, deep industry expertise, and advanced technology solutions, we’re the intelligent transformation partner that powers a world that works, helping companies become refreshingly simple to work, interact, and transact with. We shape new game-changing careers in over 70 countries, attracting the best talent.
Our game-changers around the world have devoted their careers to ensuring every relationship is exceptional. And we’re proud to be recognized with awards such as "World's Best Workplaces," “Best Companies for Career Growth,” and “Best Company Culture,” year after year.

What you will do in this role

In everything we do, we believe in doing right by and for people – our clients, their customers, our people, our community, and our planet.

Cash Management

  • Manage the day to day cash and liquidity position across all EMEA operations.
  • Coordinate the opening and closing of bank accounts. Work with internal teams to set up accounts with desired options
  • Review daily cash balances, projections, and coordinate cash transfers across various accounts to ensure funds availability for all scheduled disbursement activity
  • Prepare a cash forecast summarizing cash inflows and outflows (e.g., AP, payroll and employee related payments, tax and government remittances)
  • Coordinate intercompany funds movements consistent with Corporate objectives; manage individual entity requirements and identify means to maximize internal cash and minimize external borrowing requirement
  • Ensure and manage banking activity compliance with local statutory and central bank requirements
  • Initiate transfers within bank system as necessary to support Treasury Cash Management objectives
  • Address periodic bank transactional issues and work with functional teams (e.g., A/P, A/R, Payroll, etc.) to address root cause and resolve.
  • Periodically reassess and design an efficient cash management banking structure to meet business requirements, minimize bank fees, minimize bank accounts, manage counterparty risk and optimize / leverage relationships with global banking partners. Prepare and analyze RFP questions and responses as required.


Bank Systems

  • Manage, maintain and ensure availability of banking systems and platforms; enhance functionalities as required and put in place new set-ups where needed to ensure efficiency of transactions (ex. Payroll upload, online payments)


Foreign Exchange

  • Execute spot trades as necessary to support cash management objectives. Actively solicit the market to ensure conversion rates maximize local currency received. Determine best practice for currency conversion – both timing and process while achieving other cash management objectives


Credit Facilities

  • Identify credit facility (Fx, working capital, financing programs) requirements and establish the same to ensure adequate liquidity; coordinate with internal units (Tax, Legal, Finance) to complete documentation and approval
  • Review, negotiate terms, conditions and other criteria; analyze and manage fees/margins of providers; negotiate nil/minimal costs for the company

Bank Relationship Management

  • Provide support and consulting to local operating units on cash and banking issues. Assist units in reviewing requirements and issues involving cash or banking matters in the execution of a particular plan or strategy.

  • Provide support to Accounting, AR/AP, HR and Payroll units on cash transaction queries, bank reconciliation/recording items and employee account/payroll concerns

  • Liaise and foster good connections and maintain positive working relationship with various bank contacts, financial institutions and brokers among others

  • Manage bank relations; review bank/service providers' performances and recommend addition/deletion to bank group; ensure quality service from partners

  • Get updates on new trends/innovations, market/economic situations that may have impact on business

  • Identify and recommend new products or facilities that may be of use to the business

Reporting

  • Prepare forecasts/budgets and related analysis; develop and maintain process to forecast cash flows to ensure/improve efficiency of cash management system

  • Prepare required monthly reports/statements (cash balances, Collection/AR reports, FX schedules, bank statements, etc.)

Corporate Governance

  • Ensure accurate recording/accounting of Treasury transactions through periodic and monthly validation of results

  • Establish, implement and manage treasury policies and procedures, ensure documented controls are in place to protect cash (no unauthorized payments) and manage risk

  • Support internal and external auditor requirements

Key Objectives

  • Minimize idle cash balances and maximize cash usage

  • Minimize bank fees

  • Manage Foreign Exchange revaluation to -0- with limited monthly volatility

What’s in it for you

We challenge conventions to deliver outcomes unimagined by creating customer experiences that go beyond WOW.

Power the best version of you!

At Concentrix, we invest in our game-changers because we know that when our people thrive, our clients and their customers thrive.

If all this feels like the perfect next step in your career journey, we want to hear from you. Apply today and discover why over 440k+ game-changers around the globe call Concentrix their “employer of choice.”

Concentrix is an equal opportunity employer

We're proudly united as one team, one company, globally. We're committed to equal employment opportunities for all candidates and a work environment free from discrimination and harassment. All our recruitment practices are based on business needs, job requirements, and professional qualifications, without regard to race, age, gender identity, sexual orientation, religion, ethnicity, family or parental status, national origin, disability, or any other classification protected by applicable national laws.

Location:

COL Work-at-Home

Language Requirements:

Time Type:

Full time

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