Indefinido
Petaling Jaya, SELANGOR
Finanzas & Control de Gestión
Jornada Completa
01-Jun-2023

Who are we

Change is the DNA of L'Oréal; we are constantly leading the beauty industry to go beyond. In 1909, we began as a small store selling hair dye. Today, we have a portfolio of 36 international brands and a global presence in 150 countries.

At L'Oréal, there are 6 Zone Business Services Centres supporting the Group. Our ambition is to grow the finance department of the future at L'Oréal and provide world-class services to the Group.

Come join us in our quest of being the #1 BeautyTech Company!

Overview of the role

The Treasury Analyst has to:

  • Treasury Leader to secure and optimize cash flows, manage foreign exchange hedges and alerts any financial risks

Responsibilities

Manage the country's treasury operations

  • Ensure the day-to-day cash management with a reconciliation of actual / forecasted flows and daily pooling of cash
  • Anticipate and plan the treasury flows as well as the cash flow statement of the Country
  • Set up the necessary financing, deposits, and bank guarantees
  • Contribute to the process of attribution of the banking powers
  • Process and track payments and resolve errors or exceptions on web banking applications

Manage foreign exchange risk

  • Ensure the proper identification of FX exposure
  • Alert the Treasury Manager on over / under-hedging
  • Understand and explain the impact of FX exposure in controlling reports and in the financial statements of the Country

Support Treasury activities

  • Manage retail and e-commerce treasury operations
  • Ensure an efficient collaboration with accounting team, the retail and e-commerce payment providers
  • Contribute to set up solutions for securitization of treasury flows, cash transportation, and fight against fraud
  • Remain informed about the local payment ecosystem and understands future developments
  • Assist with preparation of treasury reports

Who we are looking for

  • 3+ years in-depth finance expertise
  • 1-3 years’ experience in treasury, accounting, finance, auditing or Business Management in a rapidly growing business
  • Knowledge of treasury operations and payments systems
  • MS/MBA/MA, applicable certification or equivalent experience required
  • English fluent
  • Puedes inscribirte en un máximo de tres ofertas en un período de 30 días.
  • No puedes retirar tu solicitud una vez enviada, así que asegúrate de elegir la posición que mejor se adapte a tus habilidades y aspiraciones.
  • Visita el apartado “Tu espacio de candidatura” para ver las ofertas en las que ya te has inscrito.
  • Por favor abstente de crear cuentas adicionales con emails distintos ya que es probable que tus cuentas se unifiquen y que tus candidaturas en curso se pierdan