This job listing expired on Oct 15, 2020
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About Wildlife

Wildlife is one of the leading mobile game developers and publishers in the world. Since 2011, our gaming titles have been downloaded more than 2 billion times providing fun to millions of people, every day, everywhere.
We are not done yet. We aspire to develop games that will be remembered by generations. That’s why we are rapidly expanding and building talented and passionate teams in our offices in Argentina, Brazil, Ireland, and the US.

About the Team

Here at Wildlife, we are building a top-class finance team that is reinventing the ways that financial processes work, we are data-driven and act as true business partners of the business units. Our Treasury team manages banking relationships, corporate capital, M&As, cash flow, and closing exchange. This team cares about each other and contributes to a diverse & safe workplace for all.

About the Role

As our Treasury Analyst, we´ll count on you to ensure that all treasury operations are working efficiently, including the analysis and elaboration of our realized cash flow and maintaining a great relationship with banks. You´ll be the one who takes care of the company's billing and accounts receivable, in order to guarantee efficient management of our revenues.

Who you are

  • Passionate about Treasury.
  • Self-driven. You have a go-getter attitude, exceptional organizational skills, and focus through on tasks.
  • You don't get easily overwhelmed with high demands of work.
  • You're flexible, you adapt to new processes and stakeholders.
  • You are very analytical and have a great rational mind to see beyond problems.
  • Responsible. You understand the impact of your treasury work in the business.
  • You are a team player. You're willing to help out wherever needed.

What you’ll do

  • Preparation and analysis of realized cash flow;
  • Financial reconciliation of banks;
  • You will be responsible for accounts receivable, billing and collection;
  • Relationship with banks;
  • Realization of Applications and Redemptions according to cash needs;
  • Exchange closing;
  • Preparation of management reports to support management in decision making;
  • Identify points of improvement in the processes and propose viable alternative solutions.

What you’ll need

  • Minimum 3 years of Treasury experience;
  • Advanced Excel (you´ll need to deal with complex functions and tables in your routine);
  • Advanced English;
  • To have a University degree or have equivalent work experience.

Plus

  • Knowledge of international receivables;
  • Intermediate Spanish
  • Pursuing an MBA or Postgraduate degree.

We welcome people from all backgrounds who seek the opportunity to help build the best gaming company, where everyone thrives.