“At QIMA, you feel like you belong from Day 1. You join a community of smart minds who not only innovate, but also support and inspire each other. Here, we own our work, have fun together, and make every day count.”
The QIMA Story
At QIMA, we are on a mission to offer our clients smart solutions to make products you can trust.
Operating in over 100 countries, we serve the consumer products, food, and life sciences industries and help more than 30,000 brands, retailers, manufacturers, and growers achieve quality excellence.
We combine on-the-ground expertise with digital solutions that bring accuracy, transparency and intelligence for quality and compliance data.
What sets us apart is our unique culture. Our 5,000 Qimates live and make decisions every day by our QIMA Values. With client passion, integrity, and a commitment to making things simple, we disrupted the Testing, Inspection, and Certification industry. Are you ready to hop on this exciting ride with us and help us achieve our mission?
Seize the opportunity to be our Senior Treasury Analyst and make a difference with your expertise, reliability and sense of personal accountability!
You will be expected to:
- Be responsible for managing daily cash positions, cash flow forecasting, and liquidity planning to ensure timely funding of company operations
- Maintain banking relationships, oversee bank account administration, and monitor bank service fees and address anomalies
- Evaluate, recommend, and implement process improvements within treasury operations
- Prepare, analyze, and present regular and ad-hoc cash flow, liquidity, and treasury activity reports to senior management
- Ensure compliance with internal controls, policies, and regulatory requirements related to treasury and banking activities
- Manage intercompany funding, settlements, and currency exposure, including scrutinizing FX risks and recommending hedging solutions as necessary
- Administer electronic banking systems and coordinate onboarding/offboarding of banking platforms and users
- Coordinate closely with the accounting, FP&A, and operational teams to provide timely treasury insights to support business decisions
- Lead or participate in treasury-related projects, including automation initiatives and process streamlining
- Support external and internal audit requirements related to treasury operations
You may also be asked to:
- Assist Treasury and Finance leadership in ad hoc analyses and special initiatives
It could be you, if you have:
- A degree in Finance, Accounting, Economics, or a related discipline
- At least 3-5 years of experience performing treasury functions (including cash management, forecasting, debt, and bank relations)
- Experience working with international/multi-currency treasury operations is a plus
- Demonstrated advanced skills in Microsoft Excel (including complex formulas, pivot tables, data analysis, dashboards, and automation via VBA or Power Query)
- Strong analytical, reporting, and communication skills
- Good command of both written and spoken English
It also helps if you are:
- Mature, proactive, responsible, detail-oriented, able to work independently, and able to meet tight deadlines
- Familiar with financial ERP systems and treasury management systems (TMS)
- A team player who enjoys collaborating with diverse stakeholders
- Available to start immediately