Treasury Manager

Posted 25 Days Ago
Be an Early Applicant
Luxembourg
7+ Years Experience
Information Technology
The Role
The Treasury Manager will oversee cash flow forecasts, manage bank accounts, develop cash management modules, implement banking tools, identify financial risks, create treasury reporting dashboards, and manage bank performance. This role involves collaboration with various departments and the onboarding of new banking partners.
Summary Generated by Built In

Company Description

Welcome to Byborg! As a leader in IT and streaming solutions, we specialize in delivering high-quality services that offer premium online experiences.

Headquartered in Luxembourg and operating globally, our company is proud of its diversity, with over 40 different nationalities working side by side. Since its launch, our flagship product has led the market, continually pushing the boundaries of digital innovation. Today, working with the latest technology, our platforms serve millions of users daily.

We are proud of our dynamic portfolio, featuring over 16 leading and fast-growing brands. These include our streaming platforms (LiveJasmin.com, Cherry.TV, IsLive.com, Oranum.com), our marketing and advertising services (AdSupply, AWEmpire, TwinRed), and our entertainment and lifestyle brands (LoyalFans.com, The Million Roses, Kinkly.com).

Are you looking for new challenges in an international, collaborative environment? The Byborg squad is seeking passionate individuals ready to make an impact. Join us in our inclusive workplace where you will be appreciated, and you can grow and achieve your potential. Help us shape the future!

Job Description

  • Lead and manage rolling cash flow forecast in close cooperation with FP&A. 
  • Manage the bank account opening and closing process, including overview of the administration rights in the online banking tools, and maintaining holistic overview of all global bank accounts, including authorizations. 
  • Further develop the cash management module and implement new banking tools to achieve optimal treasury management and reporting. 
  • Integrate new bank accounts into our banking landscape, to ensure an effective, straight-through and secure payment, collection, and reconciliation process. 
  • Identification of all financial risks within the Group (liquidity, FX, interest rate) and respective execution of strategies to mitigate those financial risks. 
  • Create and maintain an efficient system of policies and procedures that impose an adequate level of control over treasury activities and provide support for regulatory reporting. 
  • Develop treasury reporting dashboards appropriate for various stakeholders and management. 
  • Serve as the primary contact with commercial banks in cash management services, trust, custody and with business managers regarding day-to-day treasury needs. 
  • Manage bank performance, including regular review of bank charges for the service provided and review of interest rates. 
  • Monitor quarterly and annual compliance with loan agreements. 
  • Ongoing contact with different departments to identify their financing needs. 
  • Participate in other projects as required. 
  • Accomplish any other professional task assigned by the Management. 
  • Identify new banking partners, present opportunity, negotiate fees and successfully onboard them. 
  • Work with Portfolio companies to understand and report their treasury and credit processes and recommend improvements. 

Qualifications

  • 5 to 8 years of progressive experience in Treasury and proven knowledge of the treasury or related function in an international (multi-currency) environment.
  • Experience in TMS, specifically in Kyriba, is a big advantage. 
  • Knowledge of Multiline is a plus. 
  • Proven skills in project management. 
  • Bachelor’s degree required, in Accounting, Finance, Economics, or related field of study. 
  • International experience a plus. 
  • Excellent computer skills and solid understanding of accounting software principles. 
  • Self-starter and team player with a proactive attitude. 
  • Able to prioritize and to work under pressure and time constraints. 
  • Experience in Microsoft Office, in PowerPoint presentations, and outstanding in Excel, automatizations. 
  • Fluent in English. 

Additional Information

What we offer 

  • An exceptional compensation package along with relocation support to help you move to the Grand Duchy.
  • Your health is our wealth: private health insurance and free gym membership.
  • On top of the minimum 26 vacation days, we also provide additional days the longer you work for us.
  • We offer breakfast for our employees every day to help them begin the workday.
  • The opportunity to see your work directly contribute to the success of the company.
  • When you grow, we grow: You have the chance to attend events, meetups, and other perks for your professional growth.
  • You’re joining a family and you are going to look the part! We give out company-branded merchandise and clothes to every single new joiner.

Byborg Enterprises is an equal employment opportunity employer. We consider individuals for employment based on their skills, abilities and experience. We thrive to attract and hire a strong, talented and diverse workforce, prohibiting discrimination based on race, color, religious or political beliefs, age, nationality, physical, mental or developmental disability, gender, sexual orientation.

DISCLAIMER: This job description is a summary of the primary duties and responsibilities of the job and position. It is not intended to be a comprehensive or all-inclusive listing of duties and responsibilities. Contents are subject to change at management's discretion. 

During the recruitment process candidates will be requested to provide with a recent criminal record extract for background screening purpose.

NOTE: Byborg Enterprises does not accept unsolicited resumes from agencies. We consider any resume (CV) or biography received from an agency without prior approval from our Legal and Recruiting Department to be unsolicited, and such submissions will not be recognized for purposes of “ownership” of the candidate.

Top Skills

Kyriba
The Company
HQ: Kennedy
234 Employees
On-site Workplace
Year Founded: 2012

What We Do

Docler Holding is a multinational IT and Media company headquartered in Luxembourg.


Created in 2001 and powered by the ideas and visions of young and enthusiastic Hungarian entrepreneurs, today Docler Holding boasts worldwide reach and a global presence. The Group develops and operates world leading websites in the live streaming industry and has also created a large number of highly diversified companies which experience ongoing growth in the fields of ICT, media and entertainment.


“The driving force behind all our actions is creativity and innovation; regardless of what we are creating - be that a website, a movie, a luxury department store or any other investment”

- Gyorgy Gattyan -
founder, owner, visionary

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