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Cash Administrator

Cash Administrator

Country:  Belgium
City:  Brussels
Location:  SEU Headquarter (incl. Bornem)
Department:  Group Treasury
Contract:  Permanent
Shift:  No
Posting date:  2 May 2024

Department:

Group Treasury forms part of the Sappi Limited finance organisation and the functional entity is mandated to monitor, execute, co-ordinate and support centrally the full spectrum of treasury activities arising across the group. Over the years, our corporate treasury center has been delivering strong track records of best-in class market practices required to mitigate financial risks.

 

Role and responsibilities:

In this role you will report to the Treasury Operations Manager (based in Brussels).

You will be part of a small team of treasury experts.

 

You will be responsible for: 

  • Monitor and control group cash pool.

  • Calculate funding/deposit requirements based on the net position.

  • Verify interest and bank charge calculations on the cash pool.

  • Report on liquidity, cash flow forecasts and regional funding.

  • Prepare and execute payments/transfers for group treasury.

  • Assist the regions in optimising the use of their cash pool and electronic banking.

  • Maintain and control the in-house bank system in SAP-CFM.

  • Back-up the treasury administrator with the middle-office activities.

  • Assist on the integration project of all the newly acquired business entities

 

Required qualifications: 

  • a Bachelor degree in Finance or related fields.

  • You have 2 to 5 years of treasury experience obtained in a corporate treasury or bank.

  • You are proficient in English language

 

Good to have:

  • SAP treasury module experience.

  • Self-starter with integrity and a can-do attitude.

 

We are hybrid and Flexible:

Together with your team, you can decide of a hybrid working model where you can meet business, team and individual objectives.

 

What we offer:

  • An excellent opportunity to work, learn & grow with us. With our culture of learning & development, you can access thousands of online trainings

  • A multi-cultural & international environment to share and collaborate with colleagues from more than 68 nationalities in 31 locations globally.

  • A unique opportunity to join a global wood fibre solution company. We are constantly innovating toward a circular economy working to achieve our sustainability goals & reduce our carbon footprint.

 

All qualified applicants will be considered for employment, regardless of their race, religion, color, national origin, gender, sexual orientation, gender identity or expression, age, marital status, pregnancy, neurodiversity, disability, or any other aspect that makes them unique.

Department:

Group Treasury forms part of the Sappi Limited finance organisation and the functional entity is mandated to monitor, execute, co-ordinate and support centrally the full spectrum of treasury activities arising across the group. Over the years, our corporate treasury center has been delivering strong track records of best-in class market practices required to mitigate financial risks.

 

Role and responsibilities:

In this role you will report to the Treasury Operations Manager (based in Brussels).

You will be part of a small team of treasury experts.

 

You will be responsible for: 

  • Monitor and control group cash pool.

  • Calculate funding/deposit requirements based on the net position.

  • Verify interest and bank charge calculations on the cash pool.

  • Report on liquidity, cash flow forecasts and regional funding.

  • Prepare and execute payments/transfers for group treasury.

  • Assist the regions in optimising the use of their cash pool and electronic banking.

  • Maintain and control the in-house bank system in SAP-CFM.

  • Back-up the treasury administrator with the middle-office activities.

  • Assist on the integration project of all the newly acquired business entities

 

Required qualifications: 

  • a Bachelor degree in Finance or related fields.

  • You have 2 to 5 years of treasury experience obtained in a corporate treasury or bank.

  • You are proficient in English language

 

Good to have:

  • SAP treasury module experience.

  • Self-starter with integrity and a can-do attitude.

 

We are hybrid and Flexible:

Together with your team, you can decide of a hybrid working model where you can meet business, team and individual objectives.

 

What we offer:

  • An excellent opportunity to work, learn & grow with us. With our culture of learning & development, you can access thousands of online trainings

  • A multi-cultural & international environment to share and collaborate with colleagues from more than 68 nationalities in 31 locations globally.

  • A unique opportunity to join a global wood fibre solution company. We are constantly innovating toward a circular economy working to achieve our sustainability goals & reduce our carbon footprint.

 

All qualified applicants will be considered for employment, regardless of their race, religion, color, national origin, gender, sexual orientation, gender identity or expression, age, marital status, pregnancy, neurodiversity, disability, or any other aspect that makes them unique.

ABOUT SAPPI

Sappi is a leading global provider of everyday materials made from woodfibre-based renewable resources. As a diversified, innovative and trusted leader focused on sustainable processes and products, we are building a more circular economy by making what we should, not just what we can.

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