Treasury Analyst

hace 6 meses


Lima, Perú Kaizen Gaming A tiempo completo

**We are Kaizen Gaming**

Kaizen Gaming is the leading GameTech company in Greece and one of the fastest-growing in the world, operating in 13 markets with 2 brands, Betano & Stoiximan.

We always aim to leverage cutting-edge technology, providing the best experience to our millions of customers who trust us for their entertainment.

We are a diverse team of more than 2.200 Kaizeners, from 40+ nationalities spreading across 3 continents. Our #oneteam is proud to be among the Best Workplaces in Europe and certified Great Place to Work across our offices. Here, there'll be no average day for you. Ready to press play on potential?

**Let's start with the role**:
This role is an exciting opportunity to join the Treasury team and help maintain the financial soundness of the organization. Preparing treasury reports, managing cash & liquidity management, overseeing the payment process and participating in projects for system automations are on the daily agenda.

**As a Treasury Analyst you will**:

- Perform cash & liquidity management;
- Support cash flow forecasting process;
- Arrange daily intercompany funding;
- Operate and oversee payment process;
- Accurately monitor bank accounts and e-wallets balances to ensure liquidity and compliance with regulatory requirements;
- Resolve day-to-day issues and maintain a proper level of communication with banks;
- Prepare various daily, weekly and monthly treasury reports;
- Handle processes related to bank and e-wallet account opening, KYC, due diligence requests and corporate guarantees;
- Participate in the implementation of new treasury processes and system automations, in line with the departmental objectives to improve efficiencies;
- Support the development of processes and strategies to mitigate financial and operational risks;
- Perform monthly bank reconciliation process;
- Support the accounting department with the annual financial audit and provide the necessary feedback to auditor's requests.
- Maintain good relationships, both internally and externally at all levels.
- Perform other ad hoc duties.

**What you'll bring**:

- Bachelor's degree in Finance, Accounting or Business;
- Master's degree in Finance or Banking will be appreciated;
- At least 4 years of relevant working experience in a relevant position in a corporate international environment;
- Excellent working knowledge of MS Office and particularly Excel;
- Previous experience in Microsoft Business Central will be considered as an asset;
- Ability to work with numbers, accuracy, reliability and integrity are required;
- Excellent verbal and written communication skills in English.
- Ability to work effectively under pressure and in a rapidly changing environment in order to meet deadlines.

**Kaizen Gaming Perks**:

- We offer hybrid model of working.
- A buddy will support you with your onboarding;
- Unlimited access to Udemy & continuous training for all your learning and development needs;
- Clear career paths & a developmental 360° feedback framework;

**Recruitment Privacy Notice**

Regarding the data you share with us, you may find and read our recruitment privacy notice here.


  • TREASURY & CREDIT ANALYST

    hace 3 semanas


    Lima Metropolitana, Perú Mérieux NutriSciences A tiempo completo

    As a trusted partner, our Public Health mission is to make food systems safer, healthier and more sustainable. Throughout our global network in 27 countries, we offer to our customers a wide range of testing and innovative solutions dedicated to preventing health risks related to food, environment and consumer goods. External growth has been a key pillar of...

  • Treasury Analyst

    hace 6 meses


    Lima, Perú Inchcape A tiempo completo

    Inchcape es el distribuidor automotriz líder a nível global, con presencia en más de 40 países. Somos socios estratégicos de 40 de las marcas automotrices más importantes, impulsando una movilidad mejor, para hoy y para el futuro. Somos un equipo diverso y global, formado por más de 20.000 personas, que fomenta una cultura de inclusión y...


  • Lima Metropolitana, Perú CompuTrabajo - PE - Principal A tiempo completo

    Importante Empresa Retail - San Luis, Lima Descripción de la oferta A convenir Contrato por Necesidades del Mercado Tiempo completo Requerimientos - Educación mínima: Universitario - 3 años de experiencia - Edad: entre 24 y 35 años Descripción del puesto Estamos buscando a un profesional para el cargo TESORERO(A). Perfil: Bachiller o Titulado...

  • Treasury Analyst

    hace 6 meses


    Lima, Perú Equifax A tiempo completo

    Equifax es donde puedes impulsar tus posibilidades. Si desea alcanzar su verdadero potencial, trazar nuevos caminos, desarrollar nuevas habilidades, colaborar con mentes brillantes y tener un impacto significativo, queremos saber de ti! En Analista de Tesorería es el responsable por la conducción de análisis financieros y económicos, desarrollo y...


  • Lima Metropolitana, Perú NTT DATA A tiempo completo

    Somos NTT DATA, la empresa de servicios TI más grande del mundo, contamos con más de 140.000 profesionales y operamos en más de 50 países. Brindamos soluciones de negocio, estrategia, desarrollo y mantenimiento de aplicaciones tecnológicas y outsourcing. Queremos seguir construyendo un entorno único de colaboración, creativo, cercano y generoso; que...


  • Lima Metropolitana, Perú Clínica aviva A tiempo completo

    En Clínica Aviva, estamos buscando un Analista de Tesorería con mucha pasión y con ganas de transformar la salud del Perú. Nuestro propósito es lograr, con trato amable, que más peruanos vivan sanos para conquistar sus sueños. Si sientes que las características a continuación te describen totalmente, no dudes en postular. Eres capaz de comunicarte...


  • Lima Metropolitana, Perú ARQUIMIA A tiempo completo

    En Arquimia, empresa del rubro inmobiliario, nos encontramos en la búsqueda de un Analista Jr. de Administración y Tesorería: Funciones: 1. Gestión de flujos de procesos de compras, pagos, contratos, etc. 2. Ejecutar el control y cierre de la posición de caja. 3. Programar y proyectar los pagos a proveedores de OP, impuestos, planillas y analizar...