Hiring.Camp

Treasury Netting & Accounting Manager

Omya

·

Today

Location
Barcelona FI, Spain
Workplace
Hybrid
Type
Full-time
Department
Finance
Seniority
Manager
Experience
4+ years
Source
Workday

Description

MAIN RESPONSABILITIES:

Netting execution

  • Coordinate daily netting activities, including execution of netting cycles, preparation of payments, and virtual booking of settlements of IC invoices

  • Ensure timely and accurate processing of intercompany netting and settlement transactions

  • Review and adjust scope of Netting participants as well as Netting type, including Omya newly acquired or divested entities, for all 3 Business Units

  • Prepares and deploy Netting related trainings to ensure fast and smooth onboarding of new participants, together with other OS&S process teams and/or local finance teams, where appropriate

  • Align with Controlling, Accounts Payable, Accounts Receivable, and other B2C functions for seamless end to end Netting processes execution

  • Monitor netting-related KPIs and SLAs; take corrective actions in case of deviations
     

Treasury accounting

  • Ensure accurate and timely execution of treasury accounting activities, including booking, reconciliation, and period-end closing entries related to treasury transactions

  • Ensure adherence to accounting standards and audit-relevant documentation requirements for treasury items

  • Support alignment with Controlling, Accounts Payable, Accounts Receivable, and other B2C functions for seamless financial close processes

Service performance and issue resolution

  • Act as first point of escalation for operational issues and exceptions within the Netting and Accounting team; ensure timely resolution

  • Escalate structural issues, risks and recurring defects to the Head of Group Treasury

  • Ensure adherence to dual control principles for key user activities

Implementation of changes and improvements

  • Work closely with the process management team to ensure continuous improvement of netting and treasury accounting processes

  • Support the implementation of new or updated work instructions, tools and systems

  • Collect improvement ideas from the team and contribute to the operational improvement backlog

  • Participate in pilot activities, testing and training related to changes impacting netting and accounting processes

Team leadership and people development

  • Lead and develop the Netting and Accounting team (Netting and Accounting Specialists)

  • Monitor team workload and support capacity planning; identify skill gaps and training needs; support onboarding and knowledge transfer

  • Actively contribute to and foster Omya's culture and values among team members

Stakeholder management and communication

  • Collaborate and report to the Head of Group Treasury to ensure alignment between team execution and operational targets

  • Engage with Group Treasury, Treasury Middle Office team, and adjacent B2C teams (Controlling, AP, AR, Tax)

  • Liaise with internal stakeholders to ensure aligned intercompany settlement processes

QUALIFICATIONS & SKILLS:

  • University degree in Finance, Accounting, Business Administration, Economics, or related field

  • 4–6 years of experience in treasury operations, financial operations, cash management, or a related operational role

  • Experience with treasury and accounting systems (e.g., SAP FI, Coupa Treasury, netting tools)

  • First leadership or coordination experience (e.g., acting as senior specialist or deputy team lead)

  • Solid understanding of netting processes, intercompany settlements, and treasury accounting principles

  • Knowledge of accounting standards (e.g., IFRS/GAAP) relevant to treasury transactions

  • Familiarity with SAP FI and treasury-related modules

  • Knowledge of internal controls and compliance requirements for treasury and accounting activities

  • Good coaching, communication and conflict-resolution skills

  • Strong organizational and planning capabilities

  • Very good command of English, both oral and written

WHAT DO WE OFFER?

  • Hybrid Work Model: Flexibility to work from home and in the office, helping you achieve a healthy work-life balance.

  • Ticket Restaurant: Enjoy a daily meal allowance to support your well-being.

  • Flexible retribution: Kindergarten & Transport

  • 30 Labor Days of Holidays: Ample time off to relax and recharge.

  • Language Lessons: Access to language lessons to help you grow both personally and professionally.

  • Medical Insurance: 60% company-subsidized medical insurance for employees, with the option to extend coverage to family members at a highly competitive rate.

  • Open and Modern Office Environment: Work in a collaborative, innovative, and comfortable space designed for your success.

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Skills

SAPGAAPIFRSAccounts PayableAccounts ReceivableCompliance

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