IFF
IFF
IFF develops flavors, fragrances, food ingredients, and health and bioscience solutions for industries including food and beverage, personal care, healthcare, consulting, and marketing. Combining scientific expertise with creative development, the company works on products and experiences used in everyday life, with a focus on sustainable innovation, responsible sourcing, and environmental and social governance. Its large global organization offers opportunities across research, product development, manufacturing, commercial, and corporate functions.

Treasury Analyst - Spain Hybrid

Support IFF’s global treasury operations through cash management, liquidity oversight, banking administration, and financial risk activities. Contribute to treasury systems, audits, automation, and process improvements across the business.

Description

  • Support regional Global Treasury operations and maintain efficient, compliant processes.
  • Administer banking documentation, including account openings and closures, KYC activities, guarantees, and related agreements.
  • Manage banking portal access, user administration, and security controls while identifying process improvements.
  • Complete daily cash positioning, liquidity monitoring, and cash forecasting activities.
  • Assist with treasury transaction reconciliations and the settlement of payments, foreign exchange transactions, and other financial instruments.
  • Help administer treasury systems, including Quantum, Finastra, 360T, SWIFT, and related accounting interfaces.
  • Support In-House Bank activities and help meet internal and external audit requirements.
  • Contribute to treasury projects, operational improvements, and automation initiatives that increase efficiency.
  • Collaborate with internal stakeholders and banking partners to inform strategic decisions and support financial stability and growth.

Requirements

  • Bachelor’s degree in finance, accounting, economics, law, or a related discipline.
  • Professional experience in finance, treasury, banking, or accounting.
  • Working knowledge of treasury processes, liquidity management, and financial instruments.
  • Strong analytical and problem-solving abilities, with careful attention to detail.
  • Proficiency in Microsoft Excel and confidence working with financial data.
  • Clear communication and interpersonal skills for collaboration across functions and with banking partners.
  • Ability to organize multiple priorities in a fast-moving environment.
  • Willingness to learn, adapt, and support ongoing process improvement.
  • Experience with treasury management platforms such as Quantum, Finastra, 360T, or SWIFT is advantageous.
  • Exposure to global or regional treasury operations within a multinational company is advantageous.
  • Demonstrated experience leading automation, process optimization, or treasury transformation initiatives is advantageous.

Benefits

  • Flexible home-office options to support remote work and work-life balance.
  • Training opportunities designed to strengthen professional skills and support career growth.
  • Learning and development programs offering ongoing education, career resources, and opportunities for advancement.

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