Be a part of a revolutionary change!
At PMI, we've chosen to do something incredible! We're totally transforming our business and building our future on one clear purpose – to deliver a smoke-free future.
With huge change, comes huge opportunity. So, wherever you join us, you'll enjoy the freedom to dream up and deliver better, brighter solutions and the space to move your career forward in endlessly different directions.
Our new vision means we're reinventing our financial modelling, planning, and forecasting tools. Join us in Finance and you'll work across the full breadth of the business, making sure our new commercial model is profitable and sustainable.
There's something new to learn every single day: changes to integrate and challenges to conquer. If you love working collaboratively and taking risks, you'll be in your element here.
Our work spans the globe and includes audit, treasury, internal control, and commercial financial support. Whether your skills are in financial control, planning and forecasting, data analytics or digital risk, there's space to move your career forward in any number of directions.
Your 'day to day'
As a Manager Treasury Latin America Center of Expertise, you will lead the centralized Philip Morris Latin America selected affiliates' cash positions, ensuring efficient and effective use of funds and resources, while keeping financial risks for PMI affiliates at a minimum. You will also own the utilizations of external borrowing facilities, such as revolving credit facilities, and handle your subordinates' executions of daily foreign exchange transactions, approved investment transactions, as well as approved hedging proposals for all entities within Latin America. Apart from these, you will optimize the banking relationships, ensuring that the Company's financial income is maximized and expense minimized, and that all banking transactions are carried out in accordance with Philip Morris treasury policies and internal control rules. Moreover, you will implement strategies to ensure effective running of involved affiliate's Treasury activities.
You will need to be able to independently resolve issues within the framework set by management and identify areas of improvement, and actively implement initiatives to increase service levels, efficiencies, and quality. As the affiliate treasurer, you will be part of the Senior Management acting as a Co-pilot to discuss business opportunities and challenges providing advice on corporate treasury matters.
More specifically, you will Maintain and enhance the cash flow to ensure that the Latin America affiliates' projected short and medium-term cash positions are accurately estimated and, therefore financial resources can be effectively used/required. Ensure liquidity availability, optimize the return on short-term financial investments and minimize borrowing requirements. Supervise your team in the day-to-day Latin America affiliates cash and debt management activities. Direct the operational front office treasury activities of the Latin America affiliates. Implement appropriate treasury strategies to optimize overall financial performance and oversee working capital of the Latin America affiliates in coordination with Senior Management. Implement dividend strategies and other cash repatriation tools to increase return on investment for parent companies. Manage your subordinates' execution of foreign exchange transactions on behalf of Latin America affiliates. Ensure that the foreign currency requirements are satisfied at minimum cost. Assume responsibility for the preparation of the Latin America affiliates financial policy. Research and recommend financial related products to enhance the Latin America affiliates below Operating Income. Maintain and develop the Latin America affiliates relationships with banks to ensure optimum service at lowest cost. Analyze improvements in bank products, pricing and service levels, and negotiate new or revised contracts. Perform competitive bidding as required. In collaboration with the Risk & Controls Department, ensure that PM Treasury policies and procedures are rigorously adhered to. Who we're looking for University Degree in Finance, Economics, Accounting, or equivalent. Managerial (MBA), Treasury certification (ACT / CFP) and Finance certification (CFA / ACCA) will be a plus Overall Experience: At least 10 years experience in finance within PMI or with multinational company in various field of finance Specific Experience: 4 years in Treasury Front office activities (investing, funding, FX) and cash flow preparation & financial strategies Proficiency in MS Office tools. Experience with Treasury and E-banking systems. Comfort in handling discussions with partners of various levels Adaptability so as to easily flex between changing environments under strict time constrains Ability to present with impact and clarity and business relevant "story telling" capabilities Proficiency in English, both oral and written. Portuguese is a plus. What we offer Our success depends on our talented employees who come to work here every single day with a sense of purpose and an appetite for progress. Join PMI and you too can:
Seize the freedom to define your future and ours. We'll empower you to take risks, experiment and explore. Be part of an inclusive, diverse culture, where everyone's contribution is respected; collaborate with some of the world's best people and feel like you belong. Pursue your ambitions and develop your skills with a global business – our staggering size and scale provides endless opportunities to progress. Take pride in delivering our promise to society: to deliver a smoke-free future. PMI is an Equal Opportunity Employer.
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