Treasury Liquidity Manager
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- Luxemburg
- Unbefristet
- Vollzeit
In this hands-on role you will implement and manage cash forecasting models, ensure sufficient funds are available to meet ongoing operational and regulatory requirements, manage numerous bank accounts, and support key controls.
You will also operationalize the design of product funds flow and collaborate with the Bank Admin team to stand up new bank accounts, funding sweeps or other banking and/or Treasury systems infrastructure to support new product rollouts at PayPal.Job Description:Essential Responsibilities:
- Take ownership of key Treasury processes such as corporate cash management or FX risk management activities.
- Partner with internal constituents to solve corporate cash management issues.
- Leading junior treasury team members for professional growth.
- Institute and socialize BCP/BIA processes and planning.
- Maintain and manage Treasury Workstation usage, optimization, testing, and upgrades.
- Integrate acquisitions and standardize policies across the organization.
- Provide oversight of intercompany loans and other Treasury Policies.
- Identify automation initiatives for daily operations efficiency.
- Collaborate with Risk and Compliance teams for regulatory and licensing compliance.
- 5+ years relevant experience and a Bachelor’s degree OR Any equivalent combination of education and experience.