
Senior Analyst, Cash Optimization
3 days ago
Senior Analyst, Cash Optimization & Working Capital
As a Senior Analyst, Cash Optimization & Working Capital you will support the budget and forecast processes for cash optimization programs and working capital and related reporting, including Power BI refresh/maintenance. The individual will be responsible for consolidating and presenting materials to senior treasury leaders, other senior management and regional leadership teams as required. Every day, we rise to the challenge to make a difference and here's how the Senior Analyst, Cash Optimization & Working Capital role will make an impact with the following responsibilities:
Responsibilities- Assist Managers with ad hoc analysis and reporting for both Cash Optimization and Net Working Capital to drive strategic decisions and present to senior management/regional leadership teams
- Reconcile quarterly results with budget/forecast and support variance analysis
- Support the annual budget and quarterly forecast cycles updates
- Support the identification of Cash Optimization opportunities and tracking of benefits
- Perform ad-hoc analysis connecting information from multiple organizations and sources
- Interface with regional stakeholders on analysis/findings
- Support the preparation of materials for management reviews
- Maintaining and refresh underlying data in the existing dashboards in Power BI, Excel, Power Point
- Perform deviation analysis: identify root causes, trends and main drivers
- Minimum of a bachelor's degree in Economics, Finance, Accounting, Data Science or a related field
- Qualified Accountant is a must
- Previous experience as analyst in a corporate or multinational environment
- Experience transitioning finance activities to shared services
- Experience having direct interface with commercial or other leaders/stakeholders
- Accounting knowledge and understanding of working capital and free cashflow
- Proficiency in Power BI
- Strong skills in Microsoft Excel
- Familiarity with Microsoft Fabric and Excel Macros Development is a plus
- SAP is an advantage
- EPM software: Oracle, IBM Cognos, Hyperion or similar is preferred
- Good understanding of database systems, data uploads/extraction and interaction between various systems
- Strong communication skills, both written and verbal
- Comfortable working in an evolving and fast paced environment
- Proactive and innovative approach in assisting management to implement process changes
Viatris is dedicated to building a diverse, inclusive and authentic workplace. If your experience doesn't align with every requirement, we still encourage you to apply. You may be the right candidate for this or other roles.
Why Viatris?Viatris offers competitive salaries, benefits and an inclusive environment where you can use your experiences, perspectives and skills to help make an impact on the lives of others. Career progression opportunities and work-life balance initiatives are available.
Diversity & InclusionViatris values diversity and inclusion as essential to our mission. For more information, visit our Diversity & Inclusion page.
SustainabilityCorporate social responsibility is fundamental to Viatris, and we work to advance responsible and sustainable operations and empower people to live healthier at every stage of life. Visit our Sustainability page to learn more.
Viatris is an Equal Opportunity Employer.
#J-18808-Ljbffr
-
Senior Financial Analyst
2 days ago
Dublin, Dublin City, Ireland beBeeFinancial Full time €50,000 - €80,000Job DescriptionAs a Senior Financial Analyst, you will play a pivotal role in supporting our organization's cash optimization and working capital initiatives. Your primary responsibility will be to provide analytical support for budget and forecast processes, ensuring timely and accurate reporting.You will work closely with senior treasury leaders and...
-
Strategic Cash Manager
4 days ago
Dublin, Dublin City, Ireland beBeeCash Full time €90,000 - €120,000Key Job ResponsibilitiesThe role of a Corporate Treasury Operations Lead is pivotal in ensuring efficient cash management, liquidity optimization, and treasury operations activity across the organization. This position oversees and manages the treasury operations for our group, which includes multiple entities comprising branches and subsidiaries.This...
-
Treasury Analyst
3 weeks ago
Dublin, Dublin City, Ireland Brightwater Full timeTreasury Analyst Dublin An exciting opportunity has arisen for a Treasury Analyst to join the Dublin office of a global multinational. This role offers broad exposure across cash management and treasury operations, supporting businesses in EMEA, APAC, and LATAM. You will work within a dynamic treasury team. This role is initially being offered as a 6-month...
-
Executive Cash Manager
3 days ago
Dublin, Dublin City, Ireland beBeeTreasury Full time €55,000 - €90,000Senior Treasury ProfessionalWe are seeking an experienced Senior Treasury Analyst to join our team in Dublin. The successful candidate will support the Treasury Operations across cash flow, liquidity and foreign exchange management.The role involves managing cash, consolidating weekly cash flow forecasts, and supporting the development of cash management...
-
Dublin, Dublin City, Ireland beBeeCashReconciliation Full time €45,000 - €75,000Financial Analyst, Cash ReconciliationFidelity Investments is seeking an experienced professional to manage the accuracy of mutual funds' accounting. The ideal candidate will possess strong analytical skills and be proficient in Microsoft Office applications.
-
Senior Treasury Analyst
2 weeks ago
Dublin, Dublin City, Ireland Everest Insurance Full timeSenior Treasury AnalystTitle: Senior Treasury Analyst pany: Everest International Insurance Job Category: Finance Job Description: About Everest: Everest is a global leader in risk management, rooted in a rich, 50+ year heritage of enabling businesses to survive and thrive, and economies to function and flourish. We are underwriters of risk,...
-
Senior Treasury Analyst
3 weeks ago
Dublin, Dublin City, Ireland Everest Full timeTitle: Senior Treasury AnalystCompany: Everest International InsuranceJob Category: FinanceJob Description:About Everest:Everest is a global leader in risk management, rooted in a rich, 50+ year heritage of enabling businesses to survive and thrive, and economies to function and flourish. We are underwriters of risk, growth, progress and opportunity. We are...
-
Global Cash Strategist
3 days ago
Dublin, Dublin City, Ireland beBeeTreasury Full time €60,000 - €90,000Job DescriptionThe Treasury Analyst EMEA role plays a pivotal part in the organization's corporate treasury function, overseeing international cash and treasury operations across the EMEA region.
-
Senior Treasury Analyst
7 days ago
Dublin, Dublin City, Ireland Everest Insurance (Ireland), Dac Full time:About Everest:Everest is a global leader in risk management, rooted in a rich, 50+ year heritage of enabling businesses to survive and thrive, and economies to function and flourish.We are underwriters of risk, growth, progress and opportunity.We are a global team focused on disciplined capital allocation and long-term value creation for all stakeholders,...
-
Global Cash Manager
7 days ago
Dublin, Dublin City, Ireland beBeeTreasury Full timeTreasury Finance RoleWe are seeking a highly skilled Treasury Dealer to join our finance team. As a key member of our team, you will play a vital role in managing our global cash pools and ensuring optimal liquidity is available.Key Responsibilities:Manage the company's global cash pools and ensure optimal liquidity is available.Assist with the management of...