Treasury Lead - Heredia, Costa Rica - Experian

    Experian
    Experian Heredia, Costa Rica

    Encontrado en: Talent CR S2 - hace 2 semanas

    Experian background
    De jornada completa
    Descripción

    Job Description

    Experian GL Accounting team is seeking a Lead Role for Treasury to meet our growing needs in Costa Rica. As a Lead, you will oversee ensuring completeness, timeliness and accuracy of operating cash flows in a monthly manner, while being an integral part of the month end/ quarter end/ year end closes.

    Key Responsibilities

  • Prepare / review monthly operating cash flows for Experian NA operation.
  • Present OCF to senior management and provide high value analysis.
  • Provide analysis for variances and deviations to OCF's identifying business drivers.
  • Work closely with Corporate Finance and Business Unit teams to provide necessary data to support their close and reporting activities.
  • Ensure external operating cash flows reporting is correctly formatted and files are delivered on a timely and consistent basis.
  • Interpret, build consensus on, and respond to direct inquiries to our monthly files.
  • Develop a deep understanding of operating cash flows related data process and serve as a process and subject matter expert.
  • Demonstrate dedication to be a leader from the data and audit perspective.
  • Documents in detail all processes.
  • Maintains an updated Business Continuity Plan.
  • Constantly preaches best practices to all parties involved.
  • Maintains regular meetings with key stakeholders.
  • Maintains current process documentation.
  • Avoids challenges by reinforcing a strong Controls & Compliance environment.
  • Protects organization's value by keeping information confidential.
  • Qualifications

    Knowledge, Experience & Qualifications

  • Minimum of 5 years related work experience.
  • Bachelor's or master's degree in accounting or business administration.
  • Previous experience with Tableau or any database, data visualization related tool.
  • High level of attention to detail combined with an understanding of operating cash flows calculation process.
  • Excellent English written and verbal communication skills (C1 Level is desired).
  • Advanced Excel, Oracle and Power Point knowledge.
  • Strong analytical and problem-solving skills.
  • Strong ability to demonstrate complete ownership of assigned tasks.
  • Strong business partnering skills.
  • Works effectively across other departments/business units to ensure business issues are resolved for the success of the company.
  • Effective organizational skills and ability to manage multiple responsibilities under tight time frames.
  • Team oriented with a positive attitude.
  • Highly deadline driven with the ability to demonstrate ownership of the tasks assigned.
  • High level of curiosity and self-motivation.
  • Strong relationship building skills and a highly professional client service orientation.
  • Demonstrated record of process improvements and desire to implement best practices.
  • Additional Information

    Our benefits include: Medical, life and dental insurance, Asociacion Solidarista, International Share Save Plan, Flex Work/Work from home, Paid time off, Annual Performance Bonus, Education Reimbursement, Family Bonding, Bereavement Leave, Referral Program, and more.

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