EMEA Treasurer at Revvity
Milano, Lombardia, Italy -
Full Time


Start Date

Immediate

Expiry Date

26 Jun, 25

Salary

0.0

Posted On

27 Mar, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Finance, Tax, Financial Instruments, Automation Tools

Industry

Accounting

Description

Revvity is a developer and provider of end-to-end solutions designed to help scientists, researchers, and clinicians solve the world’s greatest health challenges. We pair the enthusiasm of an industry disruptor with the experience of a longtime leader. Our diverse team of 11,000+ colleagues from around the globe are vital to our success and the reason we’re able to push boundaries in pursuit of better human health.
Find your future at Revvity.

JOB SUMMARY:

Revvity is seeking a highly skilled Treasurer for EMEA to oversee treasury operations across the region. This role will be responsible for monitoring and managing company cash positions, optimizing banking structures, and ensuring seamless treasury operations in collaboration with cross-functional teams. The ideal candidate will bring strong expertise in cash forecasting, bank relationship management, and treasury-related system implementations.

QUALIFICATIONS & SKILLS:

  • Master’s degree and a minimum of 5 years of experience working in a simila in a global matrix organizations
  • Strong experience in treasury operations, preferably in a multinational environment.
  • Expertise in cash forecasting, banking structures, and financial instruments.
  • Proficiency in treasury management systems and automation tools.
  • Ability to manage relationships with banking partners and internal stakeholders.
  • Excellent analytical, communication, and problem-solving skills.
  • Experience collaborating with finance, tax, and accounting teams.
    Join Revvity and play a critical role in shaping the future of our EMEA treasury operations!

    LI-Remote

Responsibilities
  • Serve as the primary point of contact for EMEA treasury operations.
  • Partner with the EMEA Controller team on global cash forecasting to ensure adequate liquidity.
  • Oversee and manage bank accounts, including entity formations, dissolutions, closures, and structural changes.
  • Liaise with banking partners to evaluate and implement products and services that enhance treasury operations.
  • Provide treasury expertise and guidance to teams including AP, Payroll, Tax, and Finance Operations.
  • Engage with Tax and Accounting teams on treasury-related services, both self-managed and partner-managed.
  • Collaborate on system implementation projects to improve automation and efficiency.
  • Own and/or support various Treasury-related tasks and ad-hoc projects as needed.
  • Administer and provide training for online banking systems and products to business partners.
  • Work closely with EMEA Controllers and Tax teams on cash repatriation planning, raising funding requests for dividend payments.
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