职位描述
What you would work on
Bank guarantees
- End-to-end ownership of the Group's bank guarantee agenda - issuance, amendments, renewals, cancellations.
- The go-to person for banks, beneficiaries and internal stakeholders on anything guarantee-related.
- Track guarantee facilities, limits and utilization, and manage the collateral behind them.
- Spot smarter ways to structure guarantees and free up cash currently tied up as collateral.
Liquidity and cash forecasting
- Run the Group's daily and weekly liquidity position and propose funding actions.
- Build and maintain short- and medium-term cash flow forecasts across multiple entities, feeding into longer-term liquidity planning.
- Own forecast quality - back-test, analyze variances by horizon, and close the gaps you find.
- Execute and monitor intercompany funding and internal liquidity allocation.
- Watch upcoming liquidity needs, including collateral and financing, and flag constraints before they bite.
Banking and funding structure
- Manage and keep improving our banking landscape - account structures, banking partners, mandates, rationalization.
- Analyze bank fees and negotiate better commercial terms.
- Structure and manage credit facilities and overdrafts, from utilization through renewals.
- Handle bank onboarding, KYC and regulatory requests.
Treasury analytics, automation and controls
- Automate forecasting and treasury reporting - take the manual work out of recurring processes.
- Build and maintain treasury controls, procedures and approval frameworks.
- Keep pushing for better processes, reporting and data quality.
The Lead's right hand
- Be the senior point of contact for Group Treasury whenever the Lead is away, with bank signature rights and decision-making authority within defined limits.
- Make time-critical calls on liquidity, collateral, funding and payments independently.
- Prioritize and decide fast, even when the picture isn't complete.
What makes you a great candidate
- You've independently run a daily cash position across multiple legal entities, and made funding, collateral or payment calls without needing to escalate them.
- You're comfortable deciding on incomplete information - and can walk someone through the trade-off you made.
- A solid grip on liquidity and cash management, cash forecasting, banking products and credit facilities.
- A genuinely strong analytical toolkit - advanced Excel as a baseline.
- Hands-on experience with bank guarantees, guarantee facilities and collateral management is a strong plus.
- You communicate clearly and aren't fazed by dealing directly with banks or senior stakeholders.
- Fluent Czech and English.
- You're business-minded, curious and want to keep learning - we're a young team, and we value people who are curious, ambitious and still eager to grow.
What we offer
- Brand new office in the city center - Masaryčka.
- Competitive salary package with the possibility of a yearly bonus.
- 25 days of paid holiday.
- Flexible working hours and home-office options.
- High-end workstation.
- Sponsored lunch in the office. Every workday.
- Free snacks at the office.
- Multisport Card - fully paid by the company.
- Colleagues who are absolute experts in what they do.
薪资与福利
职位详情
关于 Second Foundation
公司
业务范围
Second Foundation是一家私营的技术导向能源交易公司,迅速从现货市场的创新者发展成为全球算法交易和可再生能源管理的领导者。他们专注于能源的算法交易、可再生能源优化、虚拟电厂(VPP)和电网平衡,利用先进的数学方法、人工智能、机器学习和预测气象模型。他们的平台管理着超过2GW的容量,涵盖太阳能、风能和电池储能系统(BESS)(来源: second-foundation.de)。
项目与历史
重要项目包括2022年收购Nano Energies Trade,增强了在太阳能、风能和电池资源交易中的协同效应。目前,他们在市场活动中管理着约1.5-2GW的可再生能源容量。当前项目包括在芬兰收购60 MWh的BESS和在罗马尼亚的首次BESS投资,进一步增强了他们在中东欧的存在(来源: second-foundation.eu)。
最新动态
在过去两年中,Second Foundation宣布计划全面收购Nano Energies集团,预计将在2024年第一季度完成。此外,他们与Bochemie Group签署了长期合作伙伴关系,包括少数股权投资和全球能源服务的增强。他们还宣布在芬兰收购60 MWh的BESS项目,并投资于日本市场的IQg(来源: second-foundation.eu)。
加入我们
Second Foundation正在招聘交易、技术与开发、量化角色、气象学和工程领域的员工。员工可以选择在布拉格、柏林、楚格、夏洛特和东京的办公室工作。公司重视招聘具有金融交易经验并对数学和能源市场感兴趣的人才,这反映了他们快速的全球增长(来源: second-foundation.de)。
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