Descrizione
Nickel is a start-up belonging to the BNP Paribas Group. We are a company with a very clear purpose: our mission is to fight against financial exclusion through a simple, face-to-face and accessible service. Nickel offers an account that is open to everyone, without any income condition or linkage. We already number close to 880 employees in Paris, Nantes, Madrid, Lisbon, Brussels and Berlin, with a young, dynamic and multicultural atmosphere!
What do we do?
We offer a payment account, with a national IBAN and a Mastercard debit card that the customer can open at a lottery or tobacco shop without leaving the neighborhood. This unique business model already has more than 4 million customers and more than 12,000 points of sale.
In Spain, Nickel was launched in 2021. We are currently experiencing a phase of great growth, and we already have 2,500 Nickel Points throughout the country. If you want to be part of this great adventure, read on 😉
The duties of effective cash management will include:
- Accurate and timely cash flow analysis and forecasting
- Maximizing returns from cash balances
- Minimizing financing and borrowing costs
- Efficient banking arrangements
- Efficient accounts processing arrangements
- Effective control of payments and disbursements.
- Establish Cash Management strategies
- Preparing cash forecasts to help determine how much cash will be needed to cover upcoming expenses (forecasting and budgeting).
- Monitoring of the forecasted cash positions against the actual settlement in all of the nostro bank accounts (thus ensuring that the organization has enough liquidity to fulfill its financial obligations).
- Maintaining an inventory of cash at all times in order to have ready access to funds when needed
- Preparing reports on cash balances and other financial activities for management review
- Maintain appropriate files, reports, documentation and data
- Supervision and follow-up on open items in banks and transit account reconciliations
- Contribute to financial audits.
- Perform periodic financial analysis to detect and resolve problems.
- Assisting in the preparation of budgets.
- Studies
- University Degree in Business Administration or Economy.
- Experience
- Previous experience in accounting or treasury departments is valuable.
- Languages
- Fluent English is mandatory.
- Operational French is valuable
- Transversal & Behavioral
- Ability to set up relevant performance indicators (Mastering)
- Ability to understand, explain and support change (Mastering)
- Ability to collaborate/Teamwork (Mastering)
- Decision Making (Mastering)