Company Description
Nexthink is the leader in digital employee experience management software.
The company provides IT leaders with unprecedented insight allowing them to see, diagnose and fix issues at scale impacting employees anywhere, with any application or network, before employees notice the issue.
As the first solution to allow IT to progress from reactive problem solving to proactive optimization, Nexthink enables its more than 1,200 customers to provide better digital experiences to more than 15 million employees.
Dual headquartered in Lausanne, Switzerland and Boston, Massachusetts, Nexthink has 9 offices worldwide.
Job Description
We are looking for a talented Treasury Manager to join part of our growing global team in Madrid.
This role will report to the Global Corporate Controller and collaborate directly with the CFO, FP&A, Accounting, Procurement, tax, and sales operations to build out and scale up Nexthink's treasury operations.
If you are a problem solver, independent thinker, self-starter, hands-on, and enjoy working in a fast-paced global environment, this is the perfect role for you.
Key Responsibilities Be the main point of contact for global banking relationships; manage all bank account opening and closing.Optimize bank account structure, implement global cash pooling, and maximize efficiency.Collaborate with tax and accounting on global cash repatriation, intercompany loans, and intercompany funding and settlement.Maintain debt covenant compliance and monthly reporting; support financing transactions as needed.Establish Nexthink's corporate investment policy and propose investment options to optimize investment return on excess cash.Establish Nexthink's corporate foreign currency hedging program; assess and mitigate FX exposure and analyze hedging effectiveness.Establish global treasury compliance program and centralized global KYC management.Manage treasury reporting; support short-term cash and liquidity forecast and contribute to long-term cash forecast.Optimize and automate treasury reporting; support cross-functional teams on system implementation.Optimize bank fee structure, streamline FX conversion, and assess different payment options for cost effectiveness.Coordinate and support day-to-day operational cash funding and payment processing.Support M&As and other financing activities as needed.Ad hoc projects as needed. Qualifications Bachelor's or master's degree in accounting or finance.Minimum 5 years of corporate treasury experience.CPA, CTP, or CFA preferred.English proficiency and experience working in a global environment.Hands-on, proactive, dynamic, and fast-paced.High proficiency in Excel.Experience with TIS preferred but not required.Fluent in English.Eligibility to work in the EU. Additional Information
We are the pioneers and trailblazers of a global IT Market Category (DEX) that is shaping the future of how the world works, giving our customers' IT Teams total digital visibility across their enterprise.
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