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Emea treasury manager

London
NCR Corporation
Treasury manager
Posted: 1 August
Offer description

About NCRVOYIX

NCR VOYIX Corporation (NYSE: VYX) is a leading global provider of digital commerce solutions for the retail, restaurant and banking industries. NCR VOYIX is headquartered in Atlanta, Georgia, with approximately 16,000 employees in 35 countries across the globe. For nearly 140 years, we have been the global leader in consumer transaction technologies, turning everyday consumer interactions into meaningful moments. Today, NCR VOYIX transforms the stores, restaurants and digital banking experiences with cloud-based, platform-led SaaS and services capabilities.

Not only are we the leader in the market segments we serve and the technology we deliver, but we create exceptional consumer experiences in partnership with the world’s leading retailers, restaurants and financial institutions. We leverage our expertise, R&D capabilities and unique platform to help navigate, simplify and run our customers’ technology systems.

Our customers are at the center of everything we do. Our mission is to enable stores, restaurants and financial institutions to exceed their goals – from customer satisfaction to revenue growth, to operational excellence, to reduced costs and profit growth. Our solutions empower our customers to succeed in today’s competitive landscape.

Our unique perspective brings innovative, industry-leading tech to all the moving parts of business across industries. NCR VOYIX has earned the trust of businesses large and small — from the best-known brands around the world to your local favorite around the corner.

Title: EMEA Treasury Manager

Location: Warsaw/London

Job Duties:

The EMEA Treasury Cash Manager is responsible for the cash positioning for Europe and the Middle East as part of supporting the Global Cash Operations team. This critical role will monitor cash balances, recommend and execute bank account funding, support cash repatriation, and support weekly payables in the EMEA region. The successful candidate will work with the Americas Cash Manager and the APAC Treasury Manager to facilitate appropriate global funding. Other responsibilities include overseeing, reviewing, analyzing, and reporting on key treasury metrics. NCR Voyix uses Kyriba for all cash management, and the successful candidate will become an expert in cash forecasting, completing daily payments using Kyriba and online banking portals and managing bank accounts within their region. This role is “office based” in one of our Europe offices.

Key responsibilities, for all countries in the region:

1. Position cash and review bank account activity each day
2. Initiate and/or approve bank transfers and treasury payments. Provide payment approval and back up support to the other regional cash leaders
3. Prepare cash flow forecasts over various
4. time horizons including weekly, monthly and quarterly
5. Determine excess cash availability, ensure adequate funding for EMEA entities, and repatriate excess cash to the US
6. Understand the currency landscape and partner with the FX Manager to convert currencies and manage exposures
7. Actively participate in the 2025 bank optimization project by creating, recommending, and executing on bank structure strategy and changes for the EMEA region
8. Partner with controllership and business units to understand banking needs and recommend the optimal account structure when new accounts are requested
9. Manage opening, closing and modifications of bank accounts, including signatories and bank portal users
10. Create and issue regular reports on cash flow forecasts, forecast vs. actuals accuracy, Free Cash Flow (FCF), and intercompany loan activity
11. Complete all banking documentation and KYC requirements
12. Review and report on bank fees analysis, with a focus on minimizing bank fee expense
13. Assist with the monthly and quarterly close process
14. Work in a highly collaborative, team environment within a multi -cultural environment

Basic Qualifications:

15. Bachelors degree in a business field of study
16. At least 3-5 years of work experience in Treasury
17. Proficiency in English
18. Intermediate Excel skills required
19. Kyriba experience (or knowledge of a TMS) preferred
20. Knowledge of Oracle Cloud will be considered an advantage
21. SOX reporting experience preferred

Offers of employment are conditional upon passage of screening criteria applicable to the job

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