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Job ID: | Lokalizacja: Lodz, Polska, hybrid work
"Greater Chemistry – between People and Planet" – it is our Purpose which leads Firma's Strategy: • We are shaping the future with our customers. • We are accelerating innovation. • We are leading the transition towards sustainability. • We are building a culture of possibilities.By joining us, you create an actual impact on sustainability, innovation, relations with the customers and development of your own career.
We're expanding our dynamic GBS Treasury team with a Cash Management Specialist who's ready to make an impact. Our diverse team operates across three SSC: Lodz, Mumbai and Shanghai; creating a truly international working environment. We value self-starters who embrace learning, seek out challenges, and are passionate about professional growth. In this role, you'll collaborate with talented colleagues across continents and work closely with our Group Treasury team on meaningful projects.
What will you be doing?
Cash Management & Cash forecasting:
Execute daily cash Stanowiskoing and forecasting activities, ensure adequate funds are maintained across bank accounts, and promptly address any liquidity shortfalls
Support Group Treasury to manage cash pool structures and responsible entities' cash pool IC loan balances
Identify excess cash and upstream them to Corporate Treasury (for non-cash pool accounts
Perform and maintain monthly interFirma netting cycles
Monitor and identify FX transactional exposures and request for FX conversions as if it is required
Work closely with Group Treasury on cash management enhancement initiatives, including the deployment of a new Treasury system, development of an innovative cash pool framework, and implementation of the IHB (In-House Banking) project
Ensure that all payment executions comply with the Firma's payments policy.
Monitoring of Compliance:
Support Group Treasury with audit & regulatory compliance (FATCA, EMIR, ISDA, MiFID, AML, Sanctions screening
Support internal and external audits on Treasury including handling of audit confirmations
Handle bank guarantees
Manage bank signatory authorizations and coordinate Know Your Customer (KYC) compliance procedures with the banks
What are we looking for?
University degree in Finance, Business studies, Economics, Accountancy, Mathematics
Approximately 2 years of Treasury experience, preferably in a multinational organization, or 3+ years in finance departments (Accounts Payable, Accounts Receivable, Accounting)
Understanding of cash management methodologies including forecasting, foreign exchange operations, cash pooling, and netting processes
Practical experience processing payments through SAP/bank portals
Understanding of Accounts Payable and Accounts Receivable processes and their direct influence on cash flow forecasting and liquidity management
Proficiency with SAP Modules (FI/CO), advanced Excel skills, and competence with Word and Outlook. Experience with Treasury Management Systems is beneficial
Power BI knowledge will be considered a plus
Project management capabilities are advantageous
Strong analytical aptitude with the ability to interpret data and derive meaningful insights
Language requirements: English (min. C1) and fluent German would be an advantage
What's in it for you?
Salary within the pay bands: PLN gross (final financial offer will be determined individually based on experience, skills, and role alignment).
A rewarding challenge to further develop your skills in a professional work environment.
An opportunity to be a part of the team with great enthusiasm for the business and for delivering top class services.
Career development within our organization.
Language bonuses: 800/1 000 PLN gross (depending on the number of foreign languages spoken).
ReLokalizacja packages.
Internal and external trainings.
Benefits such as sport card (Multisport), private health care, additional life insurance.
Hybrid work model.
Language courses.
Corrective eyeglasses refund.
Performance related 8% yearly bonus.
Broad range of initiatives provided by Social Team (cultural, sporty, loan found, various contest, occasional bonuses etc.).
Discount card for the various restaurants.
Integrational team events.
Possibility to participate in the charity activities.
Excellent working conditions in Monopolis complex in Lodz (wheelchair accessible workplace).
Follow us on Facebook, Instagram, X, LinkedIn and YouTube
Clariant is a Swiss-based global specialty chemicals Firma, which is concentrated and developed in three business units: Care Chemicals, Catalysts and Adsorbents & Additives. Our purpose as a Firma is reflected in our tagline "Greater chemistry - between people and planet", which considers the principles of customer, innovation and people orientation, as well as a focus on creating solutions to foster sustainability in different industries by offering high-value and high-performance chemical specialties.At Clariant, we believe that diversity, equity and inclusion are essential to our success. We strive to cultivate a workplace where all employees feel welcomed, respected, supported, and valued. Our diverse workforce allows us to tap into a wealth of perspectives, experiences, and capabilities that drive innovation. We are committed to ensuring equal opportunities for professional growth and advancement across all levels of the organization, based on objective criteria and regardless of gender, gender identity, race, ethnicity, religion, protected veteran status ,age, disability, sexual orientation or other aspects of diversity in accordance with the relevant governing laws. By bringing together talented individuals with diverse backgrounds and viewpoints, we gain the agility to meet the evolving needs of our global customers and communities. Join our team to help advance our mission of fostering a culture of belonging where everyone can thrive.
Szczegóły oferty:
Firma: Domain nicht eingerichtet
Stanowisko: Cash Management Specialist
Miejsce pracy: Polska
Kraj: PL
Jak złożyć aplikację:
Po zapoznaniu się z kryteriami i wymaganiami opisanymi w informacjach o pracy Cash Management Specialist at the office Polska powyżej, niezwłocznie przygotuj dokumenty aplikacyjne, takie jak list motywacyjny, CV, kopię dyplomu oraz inne załączniki. Wyślij aplikację, klikając 'Następna strona' poniżej.
TO OGŁOSZENIE WYGASŁO (ponad 30 dni temu).
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