Glovo

About Glovo

Your local goods delivered in under 60 minutes

Key Highlights

  • Operates in over 20 countries including Spain, Italy, and Argentina
  • Raised over $1 billion in funding from Sequoia Capital and Rakuten
  • Delivers food, groceries, and urgent packages within 60 minutes
  • Utilizes real-time geolocation for efficient delivery tracking

Glovo, founded in 2015 and headquartered in Barcelona, is an on-demand delivery service operating in over 20 countries, including Spain, Italy, and Argentina. The platform connects customers with local couriers to deliver food, groceries, and other products within 60 minutes. Glovo has raised over $...

🎁 Benefits

Glovo offers competitive salaries, equity options, flexible working hours, and a generous PTO policy. Employees also benefit from a remote work policy...

🌟 Culture

Glovo fosters a fast-paced, results-oriented culture that emphasizes innovation and adaptability. The company values local knowledge and encourages em...

Overview

Glovo is seeking a Senior Treasury Analyst to manage treasury operations and analyze financial data across 23 markets. This role requires strong analytical skills and experience in cash management strategies.

Job Description

Who you are

You have a strong background in finance, particularly in treasury operations, with at least 5 years of experience in a similar role. You are skilled in analyzing financial data and preparing detailed reports that inform strategic decisions. Your ability to generate forecasts and develop effective cash management strategies is essential for success in this position. You thrive in a fast-paced environment and are comfortable working with cross-functional teams to achieve common goals. You are detail-oriented and possess excellent communication skills, allowing you to present complex financial information clearly and concisely. You are also adaptable and open to new challenges, ready to stretch beyond your comfort zone to contribute to Glovo's mission.

Desirable

Experience in a high-growth company or startup environment would be a plus, as would familiarity with financial software and tools that enhance treasury management. A proactive approach to problem-solving and a strong understanding of financial regulations and compliance will set you apart.

What you'll do

As a Senior Treasury Analyst at Glovo, you will take ownership of managing the company's treasury operations, ensuring that cash flow is optimized across all markets. You will analyze financial data to provide insights that drive decision-making and support the company's growth objectives. Your responsibilities will include preparing treasury reports and analytical documents that highlight key financial metrics and trends. You will also be tasked with generating forecasts that inform cash management strategies, ensuring that Glovo maintains a healthy liquidity position. Collaborating with various departments, you will help develop and implement effective cash management strategies that align with the company's overall financial goals. Your role will involve continuous monitoring of cash positions and identifying opportunities for improvement in treasury processes. You will play a crucial role in supporting the financial health of Glovo as it continues to expand its operations globally.

What we offer

At Glovo, we pride ourselves on our unique culture and commitment to career development. You will be part of a dynamic team that values inclusivity and encourages you to bring your authentic self to work. We offer competitive compensation and benefits, along with opportunities for professional growth and advancement. Join us in revolutionizing the way people connect with their everyday needs and make a meaningful impact on millions of users worldwide.

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