Cash Management Specialist
Are you ready to revolutionise the world with TEKEVER? ๐๐
At TEKEVER, we lead innovation in Europe as the European leader in unmanned technology, where cutting-edge advancements meet unparalleled innovation.
๐ป Digital | ๐ก๏ธ Defence | ๐ Security | ๐ฐ๏ธ Space
We operate across four strategic areas, combining artificial intelligence, systems engineering, data science, and aerospace technology to tackle global challenges โ from protecting people and critical infrastructure to exploring space.
We offer a unique surveillance-as-a-service solution that delivers real-time intelligence, enhancing maritime safety and saving lives. Our products and services support strategic and operational decisions in the most demanding environments โ whether at sea, on land, in space, or in cyberspace.
๐ Become part of a dynamic, multidisciplinary, and mission-driven team that is transforming maritime surveillance and redefining global safety standards.
At TEKEVER, our mission is to provide limitless support through mission-oriented game-changers, delivering the right information at the right time to empower critical decision-making.
If you're passionate about technology and eager to shape the future โ TEKEVER is the place for you. ๐๐ป๐ฏ
Mission:
The Cash Management Specialist is responsible for managing the organizationโs daily cash flow, banking relationships, and short-term investments. This role ensures liquidity to meet operational needs, optimizes cash positioning, and supports strategic financial planning by maintaining efficient and secure processes.
What will be your responsibilities:
Cash Flow Management
- Oversee cash flow management, including forecasting and optimizing working capital;
- Monitor and forecast daily cash positions;
- Track inflows and outflows to ensure adequate liquidity;
- Manage intercompany cash transfers and fund allocations.
Banking Operations
- Maintain and enhance relationships with banks and financial institutions;
- Manage credit facilities, and corporate debt;
- Open, close, and manage corporate bank accounts;
- Ensure compliance with bank mandates and signature authorizations.
Ensure financial risk management
- Optimize idle cash by recommending investment of surplus funds in accordance with policy;
- Minimize bank fees and evaluate services for cost-effectiveness;
- Execute FX transactions and short-term borrowing when needed.
Reporting & Analysis
- Prepare daily, weekly, and monthly cash reports;
- Assist in preparing cash flow forecasts and liquidity analysis;
- Support audit and compliance efforts by maintaining proper documentation.
Process Improvement
- Develop and implement cash management policies and procedures;
- Leverage technology and automation tools to streamline treasury functions;
- Collaborate with accounting and other departments to ensure alignment and data integrity.
Profile and requirements:
- Degree in Finance, Accounting, Economics, or related field;
- 5+ years of experience in treasury management;
- Proficiency in Microsoft Excel and treasury management systems;
- Strong analytical, organizational, and communication skills;
- Knowledge of banking products, payment systems, and financial regulations;
- Language Requirements: Advanced proficiency in Portuguese and English, with proven fluency at the C2 level in both languages.
Ideal Traits:
- Autonomous, detail-oriented, and highly organized;
- Experience with international cash management;
- Familiarity with SWIFT, ACH, wire transfers, and bank reconciliation;
- Comfortable in a fast-paced, international environment.
What we have to offer you:
- An excellent work environment and an opportunity to make a difference;
- Salary Compatible with the level of proven experience.
Do you want to know more about us ?
Visit our LinkedIn page at https://www.linkedin.com/company/tekever/
- Department
- FINANCE
- Locations
- Tekever Lisboa (PT)
- Employment type
- Full-time
- Employment level
- Professionals
Cash Management Specialist
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