Press Tab to Move to Skip to Content Link
Select how often (in days) to receive an alert: Create Alert
Select how often (in days) to receive an alert:
We are looking for a Treasury Professional to join our team at Innomotics.
Motors and drives are our business, redefining reliable motion from check-time per day to uptime per lifecycle, from simply on/off to everything smart in between. Our most powerful engine: more than 15,000 dedicated experts, doers, colleagues. For them, engineering the future means keeping businesses in motion – in e-motion. We are the “we” in power – and we can empower you.
15,000 and counting.
Are you looking for the stability of an established global player with the lean, innovative spirit of a mid-size hidden champion? That’s us! Are you looking to shape entire industries with a future-proof portfolio of more sustainable, energy efficient solutions? Deal, let’s go!
The role.
The Treasury Professional is responsible for the operational activities for the North America countries such as the US, Canada, Mexico, & Panama.
This position reports to the Lead Treasury Professional and located in Mexico.
Organizational Development
- Supporting Innomotics’ Corporate Finance & Treasury teams, locally and globally, regarding the implementation of a fit for purpose approach for the North America region in line with the global strategy for treasury, finance, insurances and benefits
- Structuring and leading the processes and activities in accordance with the corporate guidelines and rules
Cash Management
- Establishing the global cash management strategy adopted to the requirements, including rollout and monitoring of guidelines covering account administration, balance clearing, bank connectivity, allocation and recording of signatory rights, payment cycle (frequency and instruments)
- Implementing of internal and external payments for the whole group for assigned region
- Short-term liquidity forecasting and clearing of bank accounts within scope of responsibility
- Handling bank relationships, bank accounts and bank fees for all banks in alignment with the Corporate Finance & Treasury Team
- Observing regulatory and legal changes with respect to cash management
Corporate Finance
- Facilitating and arranging local external financing and investing needs
- Coordinating regional liquidity planning
- Coordinating regional guarantee management
- Coordinating shareholder controlling activities in alignment with the central team (e.g. dividend payments, capital increases)
- Leading FX, interest rate and financial counterparty risks which include exposure determination, internal and external hedging, and limit monitoring
- Using uniform basis for price calculations and budgeting
Pensions and Insurance
- Performing actuary and insurance broker services in coordination with the global team
- Identifying risk exposures which require insurance cover
Your profile.
- Bachelor’s degree required; MBA or advanced degree in Finance preferred; CTP a plus
- Working experience of Cash Management and Banking with at least 5 years' related Treasury experience
- Practical experience in Treasury Operations especially Treasury Management Systems, its interphases as well as a deep knowledge of IT infrastructure / solutions in Finance and Treasury
- Experienced in management and trading of hedging instruments in terms of foreign currency, interest rates and commodity risks including risk controlling
- Experienced in digitalization and automatization of treasury, cash, and liquidity management –processes as well as risk management
- Familiarity working with international teams and projects
What we offer.
At Innomotics, we are committed to an ownership culture, in which every employee takes personal responsibility for our company’s success. We apply lean principles and seek to continually improve our processes and customers’ experience.
Make your mark in our exciting world. #JoinReliableMotion #TeamInnomotics
As an equal-opportunity employer we are happy to consider applications from individuals with disabilities.
#J-18808-Ljbffr