Hiring.Camp

Sr. Treasury Analyst, EMEA/APAC

Ncr

·

Today

Location
Belgrade Campus, Serbia
Type
Full-time
Department
Finance
Education
Bachelor
Source
Workday

Description

About NCR VOYIX

NCR Voyix Corporation (NYSE: VYX) is a global platform-powered leader in unified commerce for shopping and dining. Combining a flexible, intelligent platform with end-to-end payments capabilities and services developed through its deep industry experience, NCR Voyix empowers retailers and restaurants to accelerate new possibilities for their operations, experiences and business outcomes. NCR Voyix is headquartered in Atlanta, Georgia, and serves customers in more than 35 countries worldwide.

Job Title: Senior Treasury Analyst, EMEA & APAC

Grade: P3


Job Duties:

The Senior Treasury Analyst, EMEA & APAC supports regional cash operations across Europe, the Middle East, Africa, and Asia Pacific as part of the Global Cash Operations team. This role monitors daily cash balances, recommends and executes bank account funding, supports cash repatriation and payables, and helps maintain appropriate liquidity across both regions. The analyst works closely with the Americas cash team, regional finance and controllership partners, and banking partners to coordinate global funding and deliver accurate treasury reporting. NCR Voyix uses Kyriba for cash management, and the successful candidate will develop strong expertise in cash forecasting, treasury payments, online banking portals, and regional bank account administration. This role is office based in an NCR Voyix office within the EMEA or APAC region.


Key responsibilities, for all countries in the EMEA and APAC regions:

  • Prepare daily cash positions and review bank account activity for entities across EMEA and APAC.
  • Initiate bank transfers and treasury payments as needed.
  • Prepare cash flow forecasts across weekly, monthly, and quarterly horizons; investigate material variances and improve forecast accuracy.
  • Assess excess cash and funding requirements, coordinate liquidity across regional entities, and support repatriation of excess cash to the United States.
  • Monitor the regional currency landscape and partner with the FX Manager to execute currency conversions and support management of foreign exchange exposures.
  • Support bank optimization initiatives by analyzing account structures, preparing recommendations, and coordinating approved banking changes across EMEA and APAC.
  • Partner with controllership and business units to understand banking needs and evaluate account structure requirements for new or existing entities.
  • Coordinate bank account openings, closings, and modifications, including signatories, documentation, and bank portal access.
  • Prepare recurring reporting on cash forecasts, forecast-versus-actual performance, Free Cash Flow, and intercompany loan activity.
  • Complete banking documentation and KYC requirements accurately and on time, coordinating with internal stakeholders and banking partners.
  • Analyze bank fees, identify anomalies or savings opportunities, and support actions to reduce bank fee expenses.
  • Support the treasury department budgeting and purchase order processes, including tracking, analysis, and reporting.
  • Assist with monthly and quarterly close activities, account reconciliations, audit requests, and SOX control evidence.
  • Maintain treasury procedures and support documentation for regional cash operations and banking activities.
  • Collaborate effectively across time zones and within a globally diverse, multicultural team environment.

Basic Qualifications:

  • Bachelor's degree in finance, accounting, economics, business, or a related field.
  • Four or more years of relevant experience in treasury, cash management, banking, or corporate finance.
  • Experience supporting cash operations across multiple countries, legal entities, currencies, or banking relationships.
  • Proficiency in English and the ability to communicate clearly with stakeholders across EMEA and APAC.
  • Strong analytical skills and proficiency in Microsoft Excel; experience preparing management-ready reporting and variance analysis.
  • Experience with Kyriba or another treasury management system preferred.
  • Knowledge of Oracle Cloud or a comparable ERP will be considered an advantage.
  • Experience operating within a SOX-controlled environment preferred.
  • Strong attention to detail, sound judgment, and the ability to manage multiple priorities across time zones.

Offers of employment are conditional upon passage of screening criteria applicable to the job

EEO Statement

Integrated into our shared values is NCR Voyix’s commitment to equal employment opportunity.  All qualified applicants will receive consideration for employment without regard to sex, age, race, color, creed, religion, national origin, disability, sexual orientation, gender identity, veteran status, military service, genetic information, or any other characteristic or conduct protected by law.  NCR Voyix is committed to being a globally inclusive company where all people are treated fairly, recognized for their individuality, promoted based on performance and encouraged to strive to reach their full potential.  We believe in understanding and respecting differences among all people.  Every individual at NCR Voyix has an ongoing responsibility to respect and support a globally diverse environment.

Statement to Third Party Agencies
To ALL recruitment agencies: NCR Voyix only accepts resumes from agencies on the preferred supplier list. Please do not forward resumes to our applicant tracking system, NCR Voyix employees, or any NCR Voyix facility. NCR Voyix is not responsible for any fees or charges associated with unsolicited resumes

“When applying for a job, please make sure to only open emails that you will receive during your application process that come from a @ncrvoyix.com email domain.”

Skills

OracleExcelSOXKYCERP

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