Why Noventiq?
Do you want to contribute directly to successful business outcomes by driving digital transformation for its customers’ businesses, connecting 75k organizations forward in a secure way? Are you motivated to evolve the global best practices within all sectors with hundreds of best-in-class IT vendors, alongside its services and solutions?
Noventiq is a leading global solutions and services provider:
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Founded in 1993
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Headquartered in London, UK
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Headcount of 6400 employees
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Partnering with Microsoft, IBM, Oracle, Google, AWS and up to 500 other vendors
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Operating in roughly 60 countries
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16 strategic acquisitions
What's in it for you?
Here you will collaborate with multi national teams, ameliorate to a bazillion of innovative projects that deliver the most creative and cutting-edge solutions, and have an opportunity to continuously learn and grow, capable of taking on more significant responsibilities and leadership roles.
Your Impact on the Mission:
- Act as key user and project lead for GTreasury roll-out (Cash Visibility, Forecasting, BAM)
- Coordinate with IT, banks, and treasury teams across regions to ensure integration and adoption
- Monitor and report on daily global cash positions across 1000+ accounts
- Coordinate internal funding and short-term cash decisions
- Build and maintain 13-week rolling cash flow forecasts
- Work with regional teams to gather and analyse inputs
- Track variances and improve forecasting accuracy
- Analyse FX exposures across regions, support FX execution and hedging in line with group policy
- Monitor settlements, revaluation impacts, and accounting compliance
- Liaise with banking partners on fee reviews and account structures
- Maintain signatory oversight and audit/compliance readiness
- Prepare dashboards and reports for senior leadership
- Ensure compliance with treasury policies, controls, and audits
What You’ll Bring to The Table – About You:
- Bachelor’s degree in Finance, Accounting, Economics (ACT/AMCT, CFA preferred)
- 5+ years of treasury experience in a multinational environment
- Hands-on TMS expertise (ideally GTreasury, including implementation/optimisation)
- Strong knowledge of short-term cash forecasting, FX execution, and global banking operations
- Advanced Excel; Power BI / data analytics a plus
- Excellent organisational and cross-border communication skills
- Fluent English