Our client is a prominent global advisory firm known for the commitment to excellence in leadership consulting. The aim is to collaborate with top executives, leadership teams, and organizations to drive success and foster growth with a focus on providing transformative solutions that empower leaders across various sectors.We are looking for an experienced specialist to join the Group Finance team as Group Finance Specialist, directly reporting to the Head of Group Treasury & Consolidation. This role will primarily focus on managing treasury operations while also providing support across broader finance functions.Key ResponsibilitiesIn this role, you will oversee various tasks essential for optimizing financial operations within the organization.Manage cash operations and oversee liquidity to ensure optimal cash levelsAssist in the planning and execution of financial projectsServe as the main point of contact for bank relationship managementImplement strategies to minimize foreign exchange exposureIdentify and implement process improvements within the finance functionAdminister the Treasury Management System to enhance operation efficiencyOversee cash pooling arrangements to maximize the efficient use of liquidityPrepare financial reports for management review and ensure compliance with policies and regulationsQualificationsFor this dynamic position, we seek candidates with a strong foundation in finance and accounting, complemented by essential skills.Bachelor's or Master's degree in Finance or related fields3-5 years of professional experience in finance roles, preferably in a mid-sized corporate settingProficiency with TMS and ERP systemsStrong advanced Excel skills for data analysis and financial reportingExcellent analytical and problem-solving capabilitiesCollaborative mindset with a hands-on and goal-oriented approachExperience in managing or participating in finance-related projectsFluent in English; proficiency in other languages is an advantage #LI-Hybrid