Details

Contract

Full-Time

Location

Buenos Aires, Argentina

Department

Finance

Openings

1

Job ID

47724544

Be part of a revolutionary change! We’re totally transforming our business, and building our future on smoke-free products with the power to improve the lives of a billion smokers worldwide. With huge change, comes huge opportunity. So, wherever you join us, you’ll enjoy the freedom to dream up and deliver better, brighter solutions and the space to move your career forward in different directions. “Your day to day” As part of the Buenos Aires based LA Treasury CoE team, reporting into Global Corporate Treasury in Switzerland, you will have a key role covering Treasury Front Office activities for one or more Latin American affiliates. You will actively participate in the tactical and strategic plan for Treasury for those affiliates together with the implementation of local and global solutions. The role gives empowerment to act on a day-to-day basis with independence, within a certain framework and provides interaction on a regular basis with Management through opportunities to present market updates and projects. Imperative to the role is the ability to proactively bring to the table new initiatives and implement them from start to finish with all cross-functional teams, adding value to the business from the treasury perspective. -Ensure Treasury and Cash Management in line with local business needs and with corporate guidelines. -Develop and maintain relationships with banks, affiliates and other stakeholders to enhance the Treasury service level provided to the business. -Negotiate Cash Management terms and financial agreements (loans, investments, derivatives) with banks. -Perform daily trading investments, borrowings and FX transactions. -Prepare short term cash flow and support dividend definition and remittance to shareholders. -Take active part monitoring the financial markets developments and changes in regulations that could potentially affect the activities under scope. -Analyze and propose strategies for managing risk exposures (interest rate, currency) with a global perspective. -Present to local and global senior management, status, achievements and opportunities for managed affiliates. -Delve into the underlying business for which you manage the treasury, understanding trends, analyzing balance sheet and financial statements and updating Manager on risks/opportunities. Who we’re looking for *Degree in business administration, economic or other finance related areas / Master in Finance or CFA is a plus. *3-5 years’ experience in Corporate Treasury / Front Office or related Finance activities. Strong knowledge of budgeting and accounting is highly valued. *Knowledge of e-commerce, fintech and payment service providers solutions is a plus. *Knowledge of foreign exchange regulation and banking practices *Strong team player with excellent people, communication and negotiation skills. *Demonstrated ability to work as a member of a team, meet individual goals and contribute to group projects. *Fluent English on a written and oral basis is a must. We Offer: - Freedom to define your future and ours. We’ll empower you to take risks, experiment and explore. - Be part of an inclusive, diverse culture, where everyone’s contribution is respected. - Pursue your ambitions and develop your skills with a global business. - Take pride in delivering our promise to society to improve the lives of a billion smokers. If you want to know more about our transformation: Develop Your Career at Philip Morris | PMI - Philip Morris International

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