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Noventiq is hiring!
Noventiq’s story is one of change. We grew, expanded, and adapted, learning more at each step. Now effecting change is at the heart of everything we do. And that doesn't just apply to our customers, it’s how we feel about everyone who works with us.
Noventiq (the brand name of Cyprus-registered Softline Holding plc) is a leading global solutions and services provider in digital transformation and cybersecurity, headquartered and listed in London. The company enables, facilitates and accelerates digital transformation for its customers’ businesses, connecting 75,000+ organizations from all sectors with hundreds of best-in-class IT vendors, alongside its own services and solutions.
With a turnover of US$ 1.1 billion in the fiscal year of 2021, Noventiq is currently one of the fastest-growing companies in the sector. In October 2021, the company "Softline Holding plc" got its primary listing on the London Stock Exchange (LSE:SFTL). Noventiq’s growth is underpinned by its three-dimensional strategy to expand its geography, portfolio and sales channels. The strategy is supported by Noventiq's active approach to M&As, enabling the company to take advantage of the ongoing consolidation in the industry.
Now we’re looking for a Treasury Accountant, you’ll be a part of our Global Finance team.
What you’ll do:
- Undertake daily and monthly treasury processes whilst adhering to treasury policies and procedures.
- Assist the Global Treasurer by taking a proactive role in the day-to-day execution, administration, management and related activities ensuring that Treasury's operational and strategic goals and the Group's contractual obligations are met.
- Report on the group’s cash on a global basis, monitoring global cash cycles and producing daily cash position summaries for the Global Treasurer.
- Daily maintenance and distribution of account statements for all companies of the group.
- Management of daily liquidity/cash positions including multicurrency accounts ensuring sufficient cash in the correct bank account, in the correct currency, in the correct entity at the correct time to satisfy group requirements.
- Support in cashflow modeling to optimize liquidity, and execute foreign exchange and money market transactions.
- Arrange settlements, confirmations and reporting for all treasury-related transactions, both intra-group and third-party.
- Provide accompanying documents to banks upon request and internal support regarding payments as required.
- Effective and timely liaison and collaboration with foreign banks regarding cross-border currency payments.
About you:
- 5+ years in a treasury position
- Bachelor's degree (economics, finance, accounting)
- Proved experience in a treasury field
- 5+ years of experience in companies with a holding structure
- Knowledgeable in the different areas of finance
What we offer:
- Working in an international environment with a team all over the globe in more than 65+ countries;
- An inspiring corporate culture with an ability to grow and develop every day;
- Fascinating compensation package with advantages from motivation programs (Long-Term Employee Partnership Program (LTEPP) and Employee Share Purchase Program (ESPP).
Don’t forget to include your CV and cover letter. We receive a lot of applications, but we try to notice each of our potential candidates.