Front Office Treasury Analyst at Syngenta Group
Montevideo, Montevideo, Uruguay -
Full Time


Start Date

Immediate

Expiry Date

08 Apr, 26

Salary

0.0

Posted On

09 Jan, 26

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Finance, Data Analysis, Process Improvement, Cash Management, Liquidity Management, Forecasting, Stakeholder Engagement, SAP, Excel, Power BI, Analytical Skills, Problem-Solving, Treasury Knowledge, Continuous Improvement

Industry

Farming

Description
Company Description About Syngenta Syngenta is a global leader in agricultural innovation with a presence in more than 90 countries. Syngenta is focused on developing technologies and farming practices that empower farmers, so they can make the transformation required to feed the world’s population while preserving our planet. Its bold scientific discoveries deliver better benefits for farmers and society on a bigger scale than ever before. Guided by its Sustainability Priorities, Syngenta is developing new technologies and solutions that support farmers to grow healthier plants in healthier soil with a higher yield. Syngenta Crop Protection is headquartered in Basel, Switzerland; Syngenta Seeds is headquartered in the United States. Read our stories and follow us on LinkedIn, Instagram & X. Job Description At Syngenta, our goal is to build the most collaborative and trustworthy team in agriculture, providing top-quality seeds and innovative crop protection solutions that improve farmers' success. To support this mission, Syngenta’s Finance Operations team is seeking a Front Office Treasury Analyst in Montevideo, Uruguay. Accountabilities Database management and data analysis; propose and implement process improvements; develop and maintain Treasury Dashboards to ensure data accuracy and visibility. Cash management / Liquidity Management: Short / long term forecasting, ensure the availability of funds daily. Support in funding strategies and all cash flows decisions. Deliver timely cash forecast reports, ensuring good alignment and engagement with the main stakeholders. Participate actively and support global / local projects related to cash management. Keep a close relationship with all banks that Syngenta operates in those countries for operational and daily purposes. Support audit requirements. Ensure a high compliant environment. Qualifications Required Relevant degree in Finance & equivalent or advanced student. Advanced Excel and Power BI Skills (mandatory). Strong analytical and problem-solving abilities (mandatory). Advanced English (mandatory). SAP knowledge. Treasury knowledge is desired. Continuous improvement mindset. Additional Information What We Offer A culture that celebrates diversity & inclusion, promotes professional development, and strives for a work-life balance that supports the team members. Offers flexible work options to support your work and personal needs. Full Benefit Package (Medical, Dental & Vision) that starts your first day. Paid Vacation, Paid Holidays, Maternity and Paternity Leave, Education Assistance, Wellness Programs, Corporate Discounts, among other benefits. Important: Syngenta is an Equal Opportunity Employer and does not discriminate in recruitment, hiring, training, promotion or any other employment practices for reasons of race, color, religion, gender, national origin, age, sexual orientation, marital or veteran status, disability, or any other legally protected status. Beyond just believing in the power of diversity, Syngenta Group promotes an inclusive culture that includes differences in all its forms. We believe that the feeling of belonging allows people to become their best version, building an increasingly welcoming and productive environment. All qualified candidates will be considered for our positions, without distinction of race, gender, age, nationality or disability. *This position will not provide relocation support. *This position will require immediate availability. Be part of a leading company that brings the potential of plants to life. #LI-Hybrid
Responsibilities
The Front Office Treasury Analyst will manage databases, analyze data, and implement process improvements while developing Treasury Dashboards. They will also handle cash management, deliver cash forecast reports, and maintain relationships with banks.
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