Home

248 jobs voor cash management gevonden

Zoekopdracht

Trefwoord 248 jobs voor cash management gevonden

Vind een Job

248 jobs gevonden
Sorteer op
Sorteer op
Standaard Datum Profile

Finance Director

STEPSTONE in STADEN
time Online sinds 3 april 2024 - Vaste jobs

Business Partnering

  • Key member of the Management team of the Business Unit and the Divisional Finance Management Team;
  • Interact with all levels and functional areas of the organization to obtain a key understanding of business drivers.Meet company objectives by pro-actively identifying risks and opportunities, providing actionable management information, challenging the business and following up on remediation and/or action plans;
  • Aid the organization in managing working capital, improving ROIC and ensuring the “cash is king” principle;
  • Manage capital expenditures, create business plans to demonstrate the validity of investments, prepare capex requests for approval, monitor spending and prepare post calculation reviews;
  • Exercise governance over master data, ensure accurate and relevant data is used to address business issues;
  • Work closely with both local, divisional and corporate finance teams;
  • Identify opportunities to improve processes and systems.

People Management

  • Lead, mentor & and develop your financial Team, providing support & guidance in order to motivate and unite your team and optimize their full potential.

Monthly financial reporting & analysis

  • Own the monthly management and financial reporting process (P&L Statement, Balance Sheet and Cash Flow Statement);
  • Ensure accurate and timely monthly reporting towards the Division and Corporate office;
  • Perform variance analysis comparing actual performance to forecast, budget and prior year;
  • Maintain, report and benchmark Key Performance Indicators (financial, operations, logistics);
  • Coordinate inventory valuation and ensure a common approach to product standard costing.

Financial Planning (long range plan, budgeting, forecasting & outlook)

  • Drive the long range plan to further improve company ROIC;
  • Plan and coordinate the budget process and ensure a timely and accurate execution;
  • Prepare the monthly rolling forecast and outlook at business unit level; identify outliers, create remediation plans if required and ensure a timely execution thereof.Maintain and improve forecast accuracy;
  • Keep oversight on working capital (managing the cash conversion cycle), weekly liquidity planning and cash flow forecasting.

Procedures and policies

  • Ensure compliance with divisional and corporate procedures;
  • Review statutory financial and tax reporting.

Projects

  • Coordinate continuous improvement projects;
  • Participate in financial modeling, M&A and divestures

Treasury Director

STEPSTONE in NINOVE
time Online sinds 4 april 2024 - Vaste jobs

As our organization has grown in both scale and complexity over the last few years, we are currently strengthening and developing the Treasury Function.We would like to bring on board an enthusiastic and mature professional for the role of Group Director Treasury, reporting to the CFO of the group.

Your function
  • Manage in an international context and across all business units the group`s treasury function and ensure proper cash, liquid assets, collateral & short-term funding in the most efficient way.
  • To this purpose manage day to day relationships with banks and other fund providers in order to manage external financial debt and make optimal use of different sources of funds (bonds, bank loans, factoring, leasing, …) within the existing financing framework.
  • From time to time you will support the CFO in the refinancing negotiations of the group so that the ambitious growth plans, both organic (CAPEX - 200 m.EUR/year) and through acquisitions can be realized.
  • Advise on optimal capital structure and on funding options for all subsidiaries (interco versus third party funding/EUR versus local currency funding).
  • Develop and implement risk management policies related to FX exposure and interest rate risks and coordinate the reporting regarding risk exposures.
  • Coordinate cash flow forecasting on short and longer term for all subsidiaries and the group to avoid excessive cash balances and to minimize cost of debt.
  • Together with the shared finance service center and local accounting departments, optimize day-to-day treasury operations across the group entities, including cash disbursements, transfers, liquidity management, FX transactions.
  • Manage the interest payment schedules maturities and work closely with the accounting department to ensure proper recognition in the group financial reporting.
  • Follow the financial markets and assess the impact for LLBG.
  • Continuously monitor trends, new developments and best practices in the Treasury domain and implement/adopt if beneficial.
Your profile
  • Master`s degree in Finance.
  • At least 5 - 7 years of professional experience of which majority in either a treasury department of a multinational company (preferably front office experience) or in a banking environment.
  • Experience in financial risk management and hedging techniques.
  • Experience in optimizing treasury processes.
  • Good understanding of accounting principles (BE GAAP and IFRS), ideally familiar with hedge accounting.
  • Strong personality able to advocate his/her opinion but always open to listen and integrate new and constructive ideas from colleagues.
  • Capable of taking decisions independently and good judgement on when to escalate to top management.
  • Strong analytical skills with the ability to understand complex matters.
  • Mature and well-structured presentation skills towards senior leaders and Executive Committee.
  • Stress resistant and willing to put in the extra effort to meet deadlines.
  • English is essential, Dutch highly appreciated.
Our offer
  • You will join a growing Belgian family business active in the European bakery sector.
  • Every day, more than 5000 enthusiastic colleagues produce and sell high-quality bakery products to consumers, supermarkets a.

Treasury Director

STEPSTONE in NINOVE
time Online sinds 4 april 2024 - Vaste jobs

As our organization has grown in both scale and complexity over the last few years, we are currently strengthening and developing the Treasury Function.We would like to bring on board an enthusiastic and mature professional for the role of Group Director Treasury, reporting to the CFO of the group.

Your function
  • Manage in an international context and across all business units the group`s treasury function and ensure proper cash, liquid assets, collateral & short-term funding in the most efficient way.
  • To this purpose manage day to day relationships with banks and other fund providers in order to manage external financial debt and make optimal use of different sources of funds (bonds, bank loans, factoring, leasing, …) within the existing financing framework.
  • From time to time you will support the CFO in the refinancing negotiations of the group so that the ambitious growth plans, both organic (CAPEX - 200 m.EUR/year) and through acquisitions can be realized.
  • Advise on optimal capital structure and on funding options for all subsidiaries (interco versus third party funding/EUR versus local currency funding).
  • Develop and implement risk management policies related to FX exposure and interest rate risks and coordinate the reporting regarding risk exposures.
  • Coordinate cash flow forecasting on short and longer term for all subsidiaries and the group to avoid excessive cash balances and to minimize cost of debt.
  • Together with the shared finance service center and local accounting departments, optimize day-to-day treasury operations across the group entities, including cash disbursements, transfers, liquidity management, FX transactions.
  • Manage the interest payment schedules maturities and work closely with the accounting department to ensure proper recognition in the group financial reporting.
  • Follow the financial markets and assess the impact for LLBG.
  • Continuously monitor trends, new developments and best practices in the Treasury domain and implement/adopt if beneficial.
Your profile
  • Master`s degree in Finance.
  • At least 5 - 7 years of professional experience of which majority in either a treasury department of a multinational company (preferably front office experience) or in a banking environment.
  • Experience in financial risk management and hedging techniques.
  • Experience in optimizing treasury processes.
  • Good understanding of accounting principles (BE GAAP and IFRS), ideally familiar with hedge accounting.
  • Strong personality able to advocate his/her opinion but always open to listen and integrate new and constructive ideas from colleagues.
  • Capable of taking decisions independently and good judgement on when to escalate to top management.
  • Strong analytical skills with the ability to understand complex matters.
  • Mature and well-structured presentation skills towards senior leaders and Executive Committee.
  • Stress resistant and willing to put in the extra effort to meet deadlines.
  • English is essential, Dutch highly appreciated.
Our offer
  • You will join a growing Belgian family business active in the European bakery sector.
  • Every day, more than 5000 enthusiastic colleagues produce and sell high-quality bakery products to consumers, supermarkets a.

Order to cash Specialist

HOUSE OF RECRUITMENT SOLUTIONS BV in
time Online sinds 10 april 2024 - Vaste jobs

Onze partner staat wereldwijd bekend om zijn bakkerijproducten en blijft een vooraanstaande speler door sterk in te zetten op innovatie en respect voor traditie.De organisatie koestert een open cultuur gebaseerd op vertrouwen en ondernemerschap, waarin inzichten worden gedeeld en teams grensoverschrijdend samenwerken.Met lokale verankering wordt klantnabijheid, wendbaarheid en flexibiliteit gegarandeerd, terwijl de organisatie profiteert van de kracht van een wereldwijde aanpak.Bij onze partner werk je als Order to cash Specialist in een bevlogen team met een ambitie om succesvol te groeien, uitdagingen aan te gaan en plezier te beleven in het werk.


Jobomschrijving

Jouw taken en verantwoordelijkheden omvatten onder andere:

  • Je fungeert als het centrale aanspreekpunt voor jouw klanten en groothandels, waarbij je dagelijks in contact staat en ondersteuning biedt indien nodig.
  • Je behandelt inkomende bestellingen, vragen en klachten op een snelle en efficiënte manier.
  • In geval van vragen, onduidelijkheden of onvolledige bestelbonnen, neem je de telefoon voor directe opvolging.
  • Je beantwoordt alle binnenkomende vragen en verzoeken om nieuwe en bestaande activiteiten te faciliteren.
  • Je houdt je aan de gestelde deadlines voor de verwerking van facturen en creditnota's.
  • Je denkt proactief mee over verbetervoorstellen en optimalisatie van onze processen.
  • Je waarborgt heldere interne communicatie (met bijvoorbeeld logistiek, kwaliteit, finance, marketing, externe sales-collega's, enz.) en externe communicatie met klanten en groothandels.ls

SALES SUPPORT ADMINISTRATOR

SKILLFLEX PEOPLE in HEMIKSEM
time Online sinds 16 april 2024 - Tijdelijke jobs

Onze klant is in België een gevestigd onafhankelijk smeermiddelenbedrijf. Wij zijn gespecialiseerd in smeermiddelen op maat voor onze klanten, met technologie die motoren beter, sneller, groener en schoner maken.

Ze zoeken een interessante vacature voor een Sales Support Administrator - voor de export afdeling!

Als sales support administrator ben je verantwoordelijk voor de coördinatie van het volledige order to cash proces.Je bent het eerste aanspreekpunt voor de klanten in jouw regio voor vragen met betrekking tot het order to cash proces inclusief after sales care.

Jouw verantwoordelijkheden Sales Support Administrator:

  • Je bent het centrale aanspreekpunt voor de klanten/distributeurs in jouw regio (Nordics, Baltics, Balkans, CEE, CIS).
  • Je beheert het volledige order-to-cash proces, van orderverwerking en follow-up met je verschillende stakeholders (productie, magazijn, marketing, supply chain,) tot het regelen van transport, facturatie en aftersales.
  • Je werkt samen met en biedt administratieve ondersteuning aan de commerciële managers van de regio.
  • Je bent de spil tussen de interne organisatie en de klant.Je overlegt regelmatig met of stemt af met verschillende interne afdelingen (logistiek & supply chain, productie, sales, marketing, etc.).
  • Je werkt in nauw overleg met de supply chain afdeling om de forecasts op te volgen om pieken in het productieproces te voorkomen.


Ref: WIL