Posted Mar 9, 2018 - Requisition No. 65848
The Bloomberg EMEA Cash and Treasury Team is part of Bloomberg LP Global Finance and SAP Solutions Group. We are responsible for ensuring we have adequate and efficient banking structures that allow for optimal liquidity management, together with fast, accurate and adapted payment delivery.
We are a strategic partner for the organisation enabling the company to keep investing and be in a position to take fast and innovative decisions in multiple countries. You will be instrumental in driving projects to help the department to remain agile, forward thinking and successful.
You will be part of the EMEA Cash and Treasury team. You will report directly to the EMEA Regional Controller, and will also work closely with the Global Process Owner (GPO) on initiatives to drive further control and efficiency in the organisation.
You will have full responsibility for the management of cash, liquidity and payment disbursement in the EMEA Region.
You will manage treasury initiatives and projects that will enhance automation, controls and efficiencies within the payment space, as well as being responsible for implementing and ensuring compliance with banking regulations
As a Treasury Manager for the whole EMEA region you'll have the opportunity to : have a great exposure to the senior management of the company, You will upskill the team and create opportunities for people to grow internally. You are a key adviser to the business by providing strategic insights on changes affecting the market across EMEA and helping them to make the right decisions.
You like bringing new ideas to the table and welcome an environment where they can be tested and implemented. You enjoy innovative approaches and challenge the status quo whenever it makes sense commercially.
Apply if you think we're a good match. We'll get in touch to let you know what the next steps are, but in the meantime feel free to have a look at this: