Financial Analyst (Treasury)

Job description

Unique, exciting, fun-loving, and fast-growing – Welcome to Jasmin Holding! Since launching in 2001, we have created products and experiences that entertain millions of people across the globe. We now serve more than 50 million users a day and are consistently amongst the top visited websites in the world with following in the millions!

Some of our top-ranking websites include:

  • Livejasmin.com, a market leader in the live streaming industry
  • Jasmin.com, a platform that helps people make authentic connections


Description

We are looking for a Financial Analyst, reporting to the Head of Finance, to become a key member of our finance team focusing on treasury. This individual will be responsible for the entire bank account management and daily cash management of the multi-national Jasmin Group.


Tasks & responsibilities:

  • Support Treasury Manager in developing a world-class Treasury Function for entire Holding structure, including required treasury systems, processes and policies.
  • Further development of cash management module and banking landscape to achieve optimal straight-through process & reporting.
  • Integration of new bank accounts into our banking landscape, to ensure an effective, straight-through and secure payment, collection and reconciliation process.
  • Support the identification of all financial risks within the Jasmin Group (liquidity, FX, interest rate) and respective execution of strategies to mitigate those financial risks.
  • Ownership on 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.
  • Manage bank performance, including regular review of bank charges for the service provided and review of interest rates.
  • Manage Jasmin Group cash status in cash flow report with integration of bank accounts and close collaboration with other financial departments to streamline long term forecast process and further improvement of data quality.
  • Support rolling cash flow forecast in close cooperation with FP&A.
  • Participate in other projects as required.

Requirements

Requirements

  • 2 to 3 years of progressive experience and proven knowledge of the treasury or related function in an international (multi-currency) environment, ideally in an e-commerce/SaaS/IT company
  • Proven skills in project management
  • Bachelor’s degree required, ideally in Accounting, Finance, Economics or related
  • International experience a plus
  • Excellent computer skills and solid understanding of accounting software principles
  • Self-starter and team player with a proactive attitude
  • Ability to prioritize and to work under pressure and time constraints
  • Fluent in English, any other languages are an asset


Competencies

  • Management and project management skills
  • High quality written and verbal communication skills
  • Highly analytical, detail oriented and proven ability to manage new ideas and creative solutions
  • Persuasion and influencing skills
  • Professional and customer focused, solution oriented with strong professional skepticism – you like to challenge the existing
  • Passionate and curious person with drive, willingness to make things happen in a fast moving and multi-cultural environment
  • Strong quantitative, analytical, organizational and communication skills
  • Ability to perform a high degree of financial analysis to help interpret financial data


What’s in it for you

  • The opportunity to have huge and amazing influence, in what we know will be a career-defining role.
  • The skills and experience you bring add to our collective strength. In addition to all the exciting things that lay in store for you, we offer an attractive compensation package along with a generous relocation package to help you move.
  • We take pride in ensuring that you remain healthy and offer private health insurance for when you don’t feel so great.
  • We believe in working hard as well as taking time off to recharge. On top of the 26 days of annual leave, you get additional days the longer you work with us.
  • And lastly, a fun, friendly and collaborative work culture where we guarantee there is never a dull day!


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


Docler Holding is an equal opportunity employer. We believe in the power of a diverse team and we strive to create an inclusive environment that helps everyone be their authentic selves at work. Our squad is made up of more than 30 nationalities and it is this diversity that makes us who we are today.

Join the #DoclerSquad to create new and exciting things, to have fun, and help shape the #LifeAtDocler.


Are you ready to unleash your power?

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