Treasury Cash Planning Specialist (AI & Analytics)
Omya·Barcelona
Qué ofrecen
Jornada completa
Según la oferta.
Híbrido
Días de oficina y de casa — el reparto está en la oferta.
Qué piden
Trabajo en inglés
Se requiere inglés, según la oferta.
Estés cerca de Barcelona para los días híbridos
No se menciona ninguna ayuda para la mudanza.
Tengas 3+ años de experiencia
Puesto de nivel Mid.
Extraído automáticamente de la oferta — lo que cuenta es el anuncio completo.
Oferta original
At Omya, we are transforming cash planning through artificial intelligence, predictive analytics, and automation. We are looking for a Cash Planning Specialist with a strong background in data analytics and AI-driven solutions to help shape the future of treasury and liquidity forecasting across our global organization.
This role is ideal for professionals who are passionate about leveraging machine learning, predictive modelling, data automation, and Generative AI to solve complex financial challenges and drive smarter decision-making
MAIN RESPONSABILITIES:
CASH PLANNING & TREASURY:
Support and execute global cash planning activities.
Monitor cash positions, liquidity forecasts, and cash flow trends.
Analyze forecast deviations and identify improvement opportunities.
Collaborate with Treasury and Finance teams to support funding and liquidity decisions.
Ensure data accuracy and consistency within cash planning processes.
DATA ANALYTICS, AUTOMATION & AI:
Develop and enhance predictive models to improve forecasting accuracy.
Build and maintain analytics solutions, dashboards, and reporting tools.
Support the implementation of AI and automation initiatives within cash planning processes.
Work with large datasets from ERP, treasury, and banking systems to generate business insights.
Contribute to innovative use cases involving machine learning, predictive analytics, and Generative AI technologies.
QUALIFICATIONS & SKILLS:
Bachelor's degree in Data Analytics, Computer Science, Statistics, Mathematics, Finance, Economics, Business Administration, or a related field.
3-5 years of experience in financial analytics, cash planning, treasury, FP&A, controlling, or similar analytical roles.
Experience supporting financial forecasting, planning, or treasury-related projects in a corporate environment.
Experience driving process improvement, automation, or digitalization initiatives within Finance or Treasury.
Strong analytical skills and experience working with data visualization tools such as Power BI; knowledge of SQL is an advantage.
Experience in data-driven forecasting, predictive analytics, and AI-enabled solutions.
Fluent English
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
WHY JOIN Omya?
This position offers a unique opportunity to combine finance, treasury, data analytics, automation, and artificial intelligence within a global environment. You'll work on impactful projects, collaborate with international teams, and contribute to the evolution of next-generation cash planning capabilities.
Interested? We'd love to hear from you. 🚀