REQ-10020915
Aug 30, 2024
Mexico

About the Role

Key Responsibilities:

  • Has the operational oversight to provide services at expected levels with a clear customer focus, including handling the exceptions
  • Provides functional guidance from TCM Cash Management perspective for business transactions. Interacts proactively within NGSC and Divisions to ensure accurate cash forecasting and liquidity position
  • Leads collaboration with key stakeholders, including senior level cross-Novartis entities business colleagues and Novartis local entity/group financial reporting and accounting
  • Serves as a Subject Matter Expert (SME) for related policies and processes, supports productivity objectives and continuous improvement, process changes and leading practices to have an efficient and effective process
  • Drives and monitors improvements to sustain a highly effective and efficient TCM Cash Management process, and realizes cost reduction opportunities including areas to harmonize and standardize processes
  • Drives initiatives to improve accuracy of the short-term cash forecast.
  • Continuous and close monitoring of closing balances, statements, limits, overdrafts facilities.
  • Timely performance of Novartis internal controls relevant to Cash Management and Bank Reconciliation
  • Establish an effective forecasting data collection process and control mechanisms.
  • Assist internal customers to understand all benefits of an optimized cash management operation
  • Coordinate with stakeholders, ongoing analysis of requirements and design of appropriate Cash Management structures and Banking landscape
  • Manage, review and control the daily forecasting process in coordination with the relevant stakeholders in NGSC and in countries.
  • Review and controls bank/IHB charges, fees and conditions on a periodic basis.
  • Manage and ensure quality of TCM master data maintenance
  • Support bank account life cycle, systems (e-banking, ERP, TMS), approval workflow and related cash management guidelines in coordination with Group Treasury.
  • Actively seeking innovation, embracing and deploying new technologies and unceasingly aiming for automation and simplicity
  • Proactively challenge the status quo and comes up with making fact-based recommendations to drive continuous improvement
  • Promote a strong and controlled environment, follow up on audit issues and support the implementation of correcting measures
  • Actively support the NGSC working style by being inclusive, proactive, respectful, and results driven in alignment with Novartis values and behaviors

Key Performance Indicators:

  • Delivery of effective and efficient accuracy on daily Cash Forecast analysis and execution
  • Leadership and ongoing motivation to Cash Management Team
  • Ensure coordination with In-House Bank, Group Treasury and Payments Team to comply with forecasting and liquidity targets
  • Ensure bank reconciliations and books closing timely, controlled and guidelines compliant
  • Professional and positive attitude towards change and continuous improvement
  • Customer satisfaction of service delivery and process specific KPIs

Ideal Bakground:

Education:
 

  • University level degree in Business Administration/ Economics/Finance or IT related fields

Languages:                                

                              

  • Fluent in English both written and spoken, excellent communication skills
  • Other languages are a plus

Experience:                          

  • 3+ years of relevant experience, with good functional exposure to Treasury and Cash Management processes. Accounting and reporting experience is a plus
  • In-depth knowledge of Treasury processes and system solutions.
  • SAP knowledge: experience with SAP FI and Business Warehouse.
  • Conceptual thinking and ability to align specific functional requirements with the overall Treasury & Cash Management strategy
  • Demonstrated ability to work effectively in a multi-national organization
  • Previous experience within financial shared service centers desirable
  • Previous experience working in projects to drive performance improvements (e.g. ERP implementation) is a plus
  • Detail oriented, professional attitude, reliable and team player

Role Requirements

Why Novartis: Helping people with disease and their families takes more than innovative science. It takes a community of smart, passionate people like you. Collaborating, supporting and inspiring each other. Combining to achieve breakthroughs that change patients’ lives. Ready to create a brighter future together? https://www.novartis.com/about/strategy/people-and-culture

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Benefits and Rewards: Read our handbook to learn about all the ways we’ll help you thrive personally and professionally: https://www.novartis.com/careers/benefits-rewards

Operations
CTS
Mexico
INSURGENTES
Audit & Finance
Full time
Regular
No
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REQ-10020915

TCM Senior Cash Management Specialist

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