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Birkirkara

    Group Treasury - Birkirkara, Malta - Alter Domus

    Alter Domus
    Alter Domus Birkirkara, Malta

    1 day ago

    Alter Domus background
    Full time
    Description
    We are Alter Domus.

    Our name means "The Other House" and we're a world leading provider of integrated solutions for the alternative investment industry.

    We believe in being different. Here, you progress on merit, not who you know. You speak openly, whoever you're speaking to. And it's your freedom to decide which cutting-edge kind of finance professional you want to be.

    Join more than 3,600 fund administration, accounting, tax, loan administration and legal experts worldwide and take pride in being alternative.


    Alter Domus clients include the world's leading asset managers, lenders and asset owners.

    We're specialists who use the most innovative technologies to create unparalleled solutions for the private equity, real assets and debt capital markets sectors.

    This is where standout talent advances what's possible in fund administration, corporate services, depositary services, transfer pricing, domiciliation, management company services, loan administration, agency services, trade settlement and CLO manager services

    Alter Domus offers a dynamic international career and client exposure. We can provide tailored learning and development to further advance and benefit your career.


    What we are looking for:

    • Dynamic, self-starting individual with the willingness to take on the next step in their career
    • Eager to gain international experience and work in/relocate to Malta managing a highly diverse and international team In this role, you will:
    • Lead the Group Treasury and Accounts Payable (AP) function reporting into the Director Treasury
    • Oversee implementation of the Group`s cash pool and daily cash position
    • Improve and manage cash forecasting and assisting the Local Controllers to identify main variances
    • Manage, maintain and administer bank relationships and management reporting
    • Integrate AP and Treasury processes to streamline operations across the Group
    • Oversee and support team activities around receiving, processing, verifying, and reconciling invoices and charging expenses to accounts and cost centers, as well as verifying vendor accounts, paying vendors, and resolving purchase order, invoice, or payment discrepancies
    • Further develop scalable workflows that can be applied across expanding geographic footprint
    • Develop strategies to improve working capital metrics
    • Oversee monthly closing cycles preparation
    • Develop and update AP/Treasury Policies and Controls What you'll bring to this role:
    • Bachelor's or Associate's degree in Accounting, Finance or related
    • 3 5 years of experience in the areas of Treasury, Accounts Payable or Accounting
    • Indepth knowledge of accounts payable principles, accounting standards and cash management
    • Demonstrated ability to design and implement new Finance processes and controls
    • Ability to work across multiple teams within and outside of an organization and handle multiple concurrent tasks
    • Experience in working with S4HANA is a plus This role is based in Malta as part of our Europewide center of finance excellence. Our corporate language is English.
    #LI-JB2


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