Global Treasury (Treasury Operations) - Finance Specialist at SAP
Praha, Praha, Czech -
Full Time


Start Date

Immediate

Expiry Date

17 Mar, 25

Salary

0.0

Posted On

15 Feb, 25

Experience

0 year(s) or above

Remote Job

No

Telecommute

No

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

WE HELP THE WORLD RUN BETTER

At SAP, we enable you to bring out your best. Our company culture is focused on collaboration and a shared passion to help the world run better. How? We focus every day on building the foundation for tomorrow and creating a workplace that embraces differences, values flexibility, and is aligned to our purpose-driven and future-focused work. We offer a highly collaborative, caring team environment with a strong focus on learning and development, recognition for your individual contributions, and a variety of benefit options for you to choose from.

COMPANY DESCRIPTION

SAP innovations help more than 400,000 customers worldwide work together more efficiently and use business insight more effectively. Originally known for leadership in enterprise resource planning (ERP) software, SAP has evolved to become a market leader in end-to-end business application software and related services for database, analytics, intelligent technologies, and experience management. As a cloud company with 300 million users and more than 100,000 employees worldwide, we are purpose-driven and future-focused, with a highly collaborative team ethic and commitment to personal development. Whether connecting global industries, people, or platforms, we help ensure every challenge gets the solution it deserves. At SAP, we build breakthroughs, together.

WORK EXPERIENCE

First professional experience in treasury or banking is an advantage.

Responsibilities

PURPOSE AND OBJECTIVES EXPECTATIONS AND TASKS

As a business partner in the Global Finance & Administration board area, the Global Treasury department is primarily responsible for the capital market strategy, internal and external funding, global financial risk management and the global cash management of SAP Group.
Under the general supervision of the Treasury manager, the Finance Specialist supports daily treasury and cash management as well as analysis and reporting in the Treasury, Banking and Investment area. The candidate is involved in a variety of financial processes and also operates as interface between Treasury, the Shared Service Center, Tax, Legal, Payroll and external counterparts, such as Banks and Auditors. The position is involved in assuring a smooth Treasury processing constantly striving for automation and process optimization based on SAP Standard Solutions. The person provides support to related accounting, tax, and other finance departments of SAP Group. Further the Specialist supports our global group companies in various treasury related activities like bank account and cash management, and trading confirmations.

WHAT YOU WILL DO

  • Daily cash management (cash disposition, cash pooling, In-House Bank operations) and short to mid-term liquidity planning
  • Administration of bank accounts, signature authorizations and Electronic Banking systems
  • Assuring and controlling compliance in signature authorizations and other Treasury processes
  • Market data maintenance in S/4
  • Supporting process optimization, automation, and standardization under the usage of SAP’s standard applications
  • Supporting cross-departmental and global projects like the integration of acquired companies
  • Performs Treasury related analysis and reporting and the preparation of business cases
  • Close collaboration with globally distributed Treasury colleagues, Tax, Accounting, Regional CFOs, SAP Standard Development and the Shared Services Organization
  • Active collaboration with external contacts like Banks and External Auditors
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