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Analista de Tesorería Sénior

Híbrido en Madrid·Jornada completa·Añadida hace 1 mes

Pluxee

15 ofertas abiertas

Resumen

Detalles del puesto

  • Jornada completa

    Según la oferta.

  • Híbrido

    Días de oficina y de casa — el reparto está en la oferta.

Requisitos

  • Trabajar en inglés

    Se requiere inglés, según la oferta.

  • Estar cerca de Madrid para los días híbridos

    No se menciona ninguna ayuda para la mudanza.

  • Tener 6+ años de experiencia

    Puesto de nivel Mid.

  • Titulación universitaria

    «Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field.» — según la oferta.

Esta oferta está publicada en inglés.

Resumen en español

El Senior Treasury Analyst gestiona las operaciones de tesorería, el seguimiento del flujo de caja y la planificación de la liquidez. El puesto ofrece crecimiento profesional y un modelo de trabajo híbrido en Madrid. Requiere 6-8 años de experiencia en finanzas o tesorería.

Salario y beneficios

Qué ofrecen

Get space to try new ideas, experiment and move the world of work forward as you bring new digital experiences - and moments of connection - to millions of people.

Touch millions of lives and create meaningful change for people and the world we share, supporting our commitments to diversity, sustainability, and local economies.

Get support you need to take meaningful steps in your career, whether you're performing your work/life balance or learning new skills.

El puesto

The Senior Treasury Analyst supports treasury operations, cash flow monitoring, liquidity planning, and financial reporting activities within the treasury function. The role contributes to daily treasury execution, bank reconciliations, cash forecasting, and treasury data analysis while ensuring compliance with Group treasury policies and internal controls.

Working closely with Treasury Managers, Accounting, Finance, and banking partners, the Treasury Analyst helps ensure operational efficiency, financial accuracy, and effective treasury governance across the organization.

The ideal candidate possesses deep expertise in cash forecasting, liquidity management, and capital optimization, serving as a key driver in maximizing our financial efficiency

Qué harás

  • Analyze historical cash flows and collaborate with product departments to refine forecast accuracy;

  • Contribute to the identification of variances between actuals and forecasts, recommending adjustments as needed.

  • Assist in identifying opportunities for cash optimization, reduced idle cash, and process efficiency.

  • Provide forecast updates and cash analysis to treasury managers or finance stakeholders as required.

  • Support the management of short-term borrowing or investments to optimize liquidity in collaboration with the Cash Manager

  • Manage and optimize cash float, balancing payment timing with collections to maximize working capital.

  • Identify short-term funding gaps or surplus cash, recommending investments or borrowing strategies.

  • Support liquidity monitoring, working capital analysis, cash utilization reviews, and short-term funding visibility.

  • Serve as the primary point of contact for banking partners, managing bank fees and account structures.

  • Identify opportunities to streamline treasury workflows, leveraging TMS (Treasury Management Systems) and ERPs.

  • Participate in system testing, updates, data validation, user acceptance testing, and process improvement initiatives.

  • Contribute to treasury process documentation, operational guidelines, checklists, and user instructions.

  • Help improve automation, reporting efficiency, data quality, and workflow reliability within treasury activities.

  • Support continuous improvement of treasury operations through accurate execution, documentation, and feedback.

  • Ensure adherence to internal financial controls (SOX) and prepare monthly treasury reports for senior leadership

  • Support continuous improvement of treasury operations through accurate execution, documentation, and feedback.

  • Prepare treasury reports, dashboards, operational KPIs, cash summaries, bank account updates, and liquidity analysis.

  • Maintain treasury data, banking records, transaction files, intercompany funding documentation, and supporting evidence.

  • Support data consolidation and reporting activities for Group Treasury, local Finance, or management review.

  • Assist in preparing materials for audits, compliance reporting, management presentations, and treasury governance discussions.

    YOU ARE A MATCH IF...

    Education:
    Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field.

    Work Experience:
    6-8 years of experience in treasury, finance, accounting, banking, or cash management activities.
    Experience in multinational environments is an advantage.

    Skills & Certifications:
    Expert understanding of treasury operations, liquidity management, and banking processes.
    Experience with ERP systems, Treasury Management Systems, or banking platforms
    Strong Excel and data analysis skills.
    Attention to detail, organization, and problem-solving capabilities.
    Strong communication and collaboration skills.

    Languages:
    Fluent English & Spanish

    Competencies:
    Treasury Operations Support.
    Cash Flow Forecasting.
    Bank Reconciliation & Monitoring.
    Treasury Reporting & Data Management.
    Treasury Policy & Compliance Awareness.

Cómo trabajarás

Permanent Regular

Sobre Pluxee

Sector
Employee Benefits

En sus propias palabras

Sobre la empresa y el equipo

At Pluxee, we shape the world of employee benefits and engagement by bringing to life a personalized and sustainable employee experience, at work and beyond.

Work at the heart of the community alongside 5,000 experts across 29 countries - we embrace diversity and value uniqueness, fostering a workplace where everyone can thrive.

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