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A world leader in gases, technologies and services for Industry and Health, Air Liquide is present in 80 countries with approximately 66,000 employees and serves more than 3.6 million customers and patients. Air Liquide's ambition is to lead its industry, deliver long term performance and contribute to sustainability thanks to a customer-centric transformation strategy relying on operational excellence, selective investments, open innovation and a network organization. Air Liquide has identified three major trends which represent growth opportunities, and among them digitization.
Air Liquide's Business Service Center (BSC) comprises a dedicated unit (including people, processes and technologies) that is structured as a centralized point of service focused on defined business functions. Initially the BSC will support the North America ('NAM') cluster and will take on support of the Latin America ('LATAM') cluster in a later phase.
Air Liquide's Shared Services workforce is a dedicated team of people who provide services that have previously been found in more than one part of the organization or group; thus, the funding and resourcing of the service is shared and the providing department effectively becomes an internal service provider.The Americas Treasury Specialist reports directly to the Treasury Director for Cash Management Americas Hub, in Houston. The successful candidate will need to be able to work in a fast paced, multicultural, and cross-functional environment on international cash management matters (liquidity, disbursements, bank account management, etc.). The candidate will be a member of a small, high-performing team. The candidate will also assist in identifying and measuring efficiencies, cost savings, and KPIs across all geographies. The role has a strong responsibility on cash management and corporate finance. This is a regional role and will have exposure to countries in the Americas' Hub. ___________________ Er du et MATCH? Job Responsibilities Corporate Finance Prepare quarterly reporting consolidating activity on cash management and corporate finance. Coordinate with different team, ensure compliance with calendar and consistency of information. Pension plan, 401k: ensure monthly liquidity is appropriate, collaborate with the Treasurer in portfolio manager analysis and be responsible for monthly administrative tasks. Factoring: prepare reporting and coordinate with the collection manager that invoices are uploaded correctly. Collaborate in debt variance analysis. Letter of credits and bonds: run reports to collaborate in the issuance of letter of credits and fully own the process of issuance of surety bonds. Net Debt: analysis: and Prepare daily cash position, cash flow actual, short term forecast and treasury reconciliation. Working Capital: compile information of different KPI and analyze trends to drive operating performance. Cash Management Cash management: responsible for annual reports on payment means, non core banks, bank fees and others. Bank reconciliations for our PAC, ALAHO Ensure that all Bank Resolutions are updated and reflect changes in signatories Delegations of Authority (DOA) need to also be updated according to changes to bank resolutions. FX charges: reconcile P/L charges. Maintain and update our treasury calendar, Become one the Hub Kyriba Key user. Provide support and follow ups to the treasury BSC. Identify opportunities for cost reduction and efficiencies on all Treasury activities. Assist in preparing proposals and visual presentations for senior Management Safety/Quality: Respect all Air Liquide safety policies, procedures and programs. Participate in the promotion of Air Liquide's safety objectives. Know and follow all procedures as outlined in Air Liquide's Quality Manual. Qualifications Education Bachelor degree in Finance, Economics or Accounting Experience/Certifications 3-5+ years cash management and/or treasury or related experience Certified Treasury Professional/Certified Cash Manager preferred Language Requirements English language proficiency - advanced Spanish language proficiency - advanced French or Portuguese language proficiency - basic to intermediate preferred Knowledge and Skills TMS (Treasury Management Systems) experience would be a plus Advanced knowledge in excel sheets Advanced/Intermediate working knowledge of financial modeling and Google suite Strong written and oral communication skills Very detail oriented; attention to accuracy is critical in this position Strong multi-tasking skills, ability to manage priorities effectively Maintains a high level of professionalism and confidentiality in all activities Presentation skills Resourcefulness – recognize the resources required to efficiently achieve an objective Teamwork - build the critical cross-function networks required to integrate the appropriate expertise Objective – remain independent Digital mindset for systems automation and connectivity Continuous improvement mindset for process improvements - Desirable knowledge of LEAN techniques #LI-MB5 Vores forskelligheder er vores styrke
Hos Air Liquide er vi forpligtet til at opbygge en mangfoldig og rummelig arbejdsplads, der favner mangfoldigheden blandt vores medarbejdere, vores kunder, patienter, interessenter i samfundet og kulturer over hele verden.
Vi byder velkommen og behandler ansøgninger fra alle kvalificerede ansøgere, uanset deres baggrund. Vi er stærkt overbevist om, at en mangfoldig organisation åbner muligheder for, at folk kan udtrykke deres talent, både individuelt og kollektivt, og det er med til at udvikle vores evne til at innovere, fordi vi derved realiserer vores grundlæggende principper, arbejder for vores succes og samtidig skaber et engagerende miljø i en verden i forandring.
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