Senior Treasury Operations Analyst
BP
- Budapest
- Állandó
- Teljes munkaidő
- Support the Line Manager to Interpret day-to-day business objectives and prepare/complete operational practices and ensure proper execution of processes
- Responsible for researching and resolving problems within designated guidelines and researching through multiple database resources
- Drive follow-up, share and provide resolution within the team and for internal or external stakeholders.
- Coordinate and support the team with audios with collaborators, in order to gather a deeper understanding of the cash and banking situation.
- Be the first escalation-point for complex and bigger challenges.
- Key individual responsible for high risk decision making and success of all payment runs bank processing (for US or European) operations.
- Responsible for oversight and ownership of any defects within the payment run process which includes performing root cause investigations to assess gaps and recommend appropriate process changes to mitigate future risk on bank level. Material risk for any one run failure can be in the hundreds of millions of dollars.
- Handle and mitigate critical issues and inquiries coming into the Treasury Investigations inbox.
- Perform daily account reconciliations between cash (SAP) and banking systems/platforms.
- Handle and maintain key relationships within the 3rd party bank, as well as business partners, Treasury Operations, and IT&S to ensure all parties are engaged on process decisions and partner concerns
- Lead global initiatives & projects in partnership with Treasury organization initiatives to continually improve the efficiency of the overall process.
- Ensure all daily payment runs are completed on behalf of business and functions through team participation, 3rd party outsourced partner oversight and validation at the end of each day.
- Reconciliation of bank daily acknowledgements for the prior day’s payments (checks, eft, wires, etc)
- Partner with Supplier Enablement Team to make appropriate Vendor Master updates or banking information changes.
- Troubleshoot and problem solves operational disruptions including investigating and resolving returned, rejected or undeliverable payments.
- Perform analytics on job runs as needed to validate success
- Provide data and analytics as necessary to support the Cash Forecasting Program initiatives
- Ad hoc data requests and reporting
- Participates in the escheatment process; recovery of escheated and dormant funds
- On daily operations acting as first point of contact.
- Support Line Manager in all projects, systems implementations, strategic topics and any ad hoc activities needed in daily operations.
- Maintain and develop working relationship with Cross-functions internal or external GBS
- Knowledgable of ERP systems and support ERP enhancements and developments
- Ensure all system upgrades and changes are handled in timely and accurate manner, carry out testing and training
- Active involvement in any Cash Management, C&B strategic, operations or system related projects
- Initiate Continuous Improvement ideas and actively contribute to projects
- Support Power BI solutions by implementing best-practices; initiate and raise „quick wins” where these are relevant. And look for opportunities in current processes by means of automation and transformation
- Ensure compliance with BP, legal and regulatory requirements applying to the department’s activity like the Cash and Banking Guide/ Policy, QMS/EMS Policy etc
- Ensure the established Process Controls (Framework) are kept and followed up, raise any gap identified and follow with the relevant PCO and teams responsible to perform them.
- Ensure compliance to all statutory and audit requirements by ensuring that all Primary controls are in place.
- Ensuring all Process documentations (SOPs or DTPs) are up-to-date, meet required quality standards and is accurate.
- 3 + years of experience in treasury and / or financial accounting, cash and banking
- Shared service centre experience; preferably in oil and gas industry
- Experience dealing/working with treasury, cash management or finance department
- Relevant systems knowledge – SAP
- MS Office experience
- Master’s Degree or equivalent experience in Finance or Accounting
- Good Analytical and numerical skills with sound financial awareness
- Good interpersonal, influential and decision-making skills
- Able to deal with complex situations while maintaining the right balance of customer and business focus
- Able to consistently review and adapt approach and style to meet ever-changing requirements.
- Able to prioritise, handle urgent issues and situations, following through to resolution in a timely manner and focusing efforts to deliver business value, escalating properly if needed
- Able to produce consistently high quality information within tight deadlines
- Different bonus opportunities based on performance, wide range of cafeteria elements
- Life & health insurance, medical care package
- Flexible working schedule: home office up to 2 days / week, based on team agreement
- Opportunity to build up long term career path and develop your skills with wide range of learning options
- Family friendly workplace e.g.: Extended parental leave, Mother-baby room
- Employees’ wellbeing programs e.g.: Employee Assistance Program, Company Recognition Program
- Possibility to join our social communities and networks
- Chill-out and collaboration spaces in our beautiful Budapest Agora and Szeged offices e.g.: Play Zones, Office massage, Sport and music equipment
- Assets like phone for private usage and company laptop are provided from the first day of employment with other equipment if requested