Assistant Treasurer
פורסם לפני 13 ימים · 0 מועמדים
התפקיד במילים פשוטות
התפקיד כולל ניהול תזרים המזומנים היומי של החברה, הכנת תחזיות תזרים מזומנים שבועיות וחודשיות, וניהול פעילויות מול בנקים. בנוסף, בעל התפקיד יתמוך בתהליכי גבייה, ניטור חשיפת אשראי וביצוע רישומים פיננסיים במערכת ה-SAP.
- Bachelor degree in Economics, Business Administration, Accounting or Finance
- Fluent English, written and spoken
- Strong Excel and Microsoft Office skills
- 1+ years of experience in treasury, finance operations, accounting, cash management, credit, collections or a similar analytical finance role
- Experience with SAP R/3 or another ERP system
- Accounting knowledge and understanding of financial processes
חולץ מתיאור המשרה · מתעדכן אוטומטית
למי זה מתאים
תפקיד זה מתאים לבעלי תואר ראשון בכלכלה, מנהל עסקים, חשבונאות או מימון, עם ידע בחשבונאות ושליטה חזקה באקסל. הוא פחות יתאים למי שאינו שולט באנגלית ברמה גבוהה או למי שמעדיף לעבוד בסביבה שאינה מטריציונית וגלובלית.
תיאור המשרה המלא
המשרה המקורית · נשמר לעיוןWe are looking for a hands-on Assistant Treasurer to join the Finance team and support Lumenis global treasury operations. The role combines day-to-day cash management, cash-flow forecasting, banking operations, collections support, credit exposure monitoring and treasury-related financial processes. This is a high-impact role for someone who enjoys execution, accuracy, collaboration across regions, and continuous improvement in a global environment. Main Responsibilities Cash Flow & Liquidity Management · Drive daily cash-position monitoring and support global cash-routing activities, including Israel cash-flow management and cash routing to Israel. · Prepare and maintain weekly and monthly cash-flow forecast files, track actual cash movements, and support short- and long-term liquidity planning. · Support RCF usage optimization and unit-supply cash needs across relevant business units. · Banking, Treasury Operations & Closing · Maintain bank-account and signatory-rights requirements, coordinate banking-system access and support ongoing bank-account maintenance. · Prepare bank reconciliations and treasury-related SAP entries, including quarterly closing inputs, instruction emails, exchange-rate files and hedging fair-value support. · Provide treasury services and operational support to finance, regional and commercial stakeholders. Collections, Credit Exposure & Insurance · Partner with regions, sales and controllers to support worldwide collections, overdue follow-up, customer credit checks and order-release processes. · Monitor credit exposure and support adherence to Credit & Collection policies. · Cross-Functional Collaboration & Projects · Work closely with Controllers, Regions, Sales, Technical, Legal and Finance teams to resolve treasury, collection and credit topics. · Support treasury projects such as TMS implementation, AI-enabled collection improvements, credit-policy refresh and financing-solution optimization. · Identify process improvements and help standardize treasury workflows across regions.
Requirements: · Bachelor degree in Economics, Business Administration, Accounting or Finance. · 1+ years of experience in treasury, finance operations, accounting, cash management, credit, collections or a similar analytical finance role - advantage. · Experience with SAP R/3 or another ERP system - advantage. · Strong Excel and Microsoft Office skills; ability to work with complex data files and recurring reports. · Fluent English, written and spoken - must. · Accounting knowledge and understanding of financial processes - advantage. · Hands-on, proactive and able to make things happen independently. · Structured, accurate and systematic; comfortable managing multiple priorities in a matrix organization. · Strong analytical skills and attention to detail. · Assertive, service-oriented and persistent, with strong follow-up discipline. · Excellent communication and collaboration skills across cultures and functions. · Curious and improvement-oriented, with willingness to learn systems and treasury processes. Why Join Us This is an opportunity to join an innovative, international company and become part of a global finance organization that supports business growth, operational discipline and strong financial control across markets.
שאלות על המשרה
- המשרה לא ציינה שכר. אנחנו מציגים שכר רק כשהמעסיק מפרסם אותו.
- היברידי
- Bachelor degree in Economics, Business Administration, Accounting or Finance, Fluent English, written and spoken, Strong Excel and Microsoft Office skills