We are more than a service provider; we are curators of extraordinary experiences and stewards of wealth and lifestyle. Our philosophy is rooted in bespoke service, granting our clients exclusive access to the finest in luxury, emerging trends, and a global network of distinguished partners and industry specialists.
Headquartered in London, with a growing presence across the Globe our reach enables us to offer unparalleled solutions across all aspects of luxury and financial management. Innovation is at our core, and our clients’ satisfaction is the driving force behind everything we do.
At Insignia, we foster a culture of independent thinking, assertiveness, and collaboration, where each team member is empowered to contribute to our continued success and the delivery of extraordinary results.
Responsibilities:
- Collecting suppliers’ invoices and organizing its timely payments in accordance with internal policies
- Administer corporate credit cards programs
- Planning & execution of intercompany fund transfers
- Preparing daily payments and instructions to the banks
- Control of timely payments execution
- Cash position monthly/weekly review, reporting and forecasting
- FX losses optimization
- Supporting bi-annual budgeting process
- Participation in financial reports optimization and digitalization to enhance financial planning and reporting quality
- Ad hock reports/presentation for finance department
Requirements:
- Minimum of 5 -7 years of experience in international treasury
- Bachelor’s or Master’s degree in Finance, Accounting, Economics, or related field
- Fluency in English language both written and spoken
- Understanding of foreign exchange markets and the ability to optimize FX losses
- Strong Excel skills
- Ability to communicate complex financial data clearly in reports and presentations
- Attention to detail, organizational skills and analytical skills