Are you ready to be part of a global leader in Digital Transformation and Cybersecurity? At Noventiq, we are driving change in emerging markets across nearly 60 countries, with a focus on the world's most important sectors. We are a rapidly growing company with a revenue of $1.6 billion in FY23, and over 6,400 talented professionals delivering cutting-edge solutions for digital innovation.
What makes Noventiq unique?
- Global Presence, Local Impact: We operate globally but always focus on delivering local outcomes. With 11 delivery centers serving customers 24/7 in 8 languages, we are committed to providing a seamless, customer-focused experience.
- Advanced Technology Partnerships: We partner with industry giants like Microsoft, AWS, and Google, ensuring our clients get the best technologies available to meet their needs.
- Dynamic Growth: With 16 acquisitions in recent years, we are expanding capabilities in AI, cybersecurity, and cloud technologies. Our fast-paced growth, with 41% revenue CAGR, shows that we're constantly evolving and leading in emerging markets.
- Cutting-Edge Solutions: We provide a full suite of digital transformation solutions, helping companies modernize, secure, and innovate their IT infrastructures, enabling them to succeed in today's competitive digital landscape.
- Employee Growth and Development: At Noventiq, we invest in our people with access to over 17,000 LinkedIn learning paths, sales academies, and leadership programs designed to develop talent and build high-performing teams. Our commitment to career development ensures that you grow with us.
Joining Noventiq means becoming part of an organization that is at the forefront of technology, delivering innovation and making a global impact. We value leadership, teamwork, and continuous learning, ensuring a long-term partnership for your career success.
Be part of something big. Be part of Noventiq!
Now we are looking for a Head of Treasury, you will be a part of our Global Finance team.
Job Overview:
We are seeking a highly skilled and experienced Treasury professional to join our global finance team. This role will be pivotal in developing the treasury organization and be a key member of the leadership of the company. Initial priorities will center around developing and instituting best practices for managing and optimizing the company’s global treasury operations; including liquidity management, cash flow forecasting, oversight of global banking, risk and debt management. The ideal candidate will have a proven track record in treasury functions, particularly in a dynamic global and fast-paced IT environment and will collaborate closely with senior management and cross-functional teams to ensure the company’s financial health and strategic goals are achieved.
Your Impact on the Mission:
- Manage global cash flows, optimize liquidity, and ensure sufficient working capital for operations across multiple regions.
- Lead and enhance short-term and long-term cash flow forecasting to ensure accurate financial planning and liquidity management.
- Manage global banking relationships to optimize service, pricing, and operational efficiencies. Monitor bank credit facilities and negotiate terms.
- Identify, assess, and mitigate financial risks (e.g., FX, interest rates, credit, etc.), developing effective hedging strategies to safeguard the company's assets.
- Manage short-term investments to maximize returns while minimizing risk within the company’s investment policies.
- Oversee debt financing, ensure compliance with loan covenants, and maintain optimal capital structure in line with the company’s growth objectives.
- Ensure compliance with all applicable regulations (local and international), and manage treasury-related reporting for financial audits, board presentations, and management reports.
- Work closely with accounting, tax, and finance teams to ensure alignment on strategic financial objectives, and contribute to strategic initiatives such as mergers and acquisitions (M&A).
What You’ll Bring to The Table – About You:
- Bachelor’s degree in finance, accounting, economics, or related field (MBA or relevant professional certifications such as CTP preferred)
- Minimum 10 years of progressive experience in international treasury, preferably within the IT or technology sector.
- Strong knowledge of international treasury practices, financial markets, and risk management techniques.
- Proven experience in cash flow forecasting, debt management, and treasury systems implementation.
How to apply:
If you would like to apply, please click on the button or send an email with your CV attached to the TA Team.
If you would like an informal chat before applying, please feel free to contact TA directly on LinkedIn or the same email address.