OverviewThe Treasury Operations Team within PepsiCo Corporate Treasury plays a leading role in ensuring that that all banking activity is effectively managed with a key focus on a strong control environment. The European Treasury Operations Team works closely with the regions and corporate functions to support this.The European Treasury Operations Team has an immediate opening for a qualified and motivated candidate for a unique opportunity. You will join a global team that is looking to leverage the latest Treasury system technology/ FinTech solutions to ensure the automation of Treasury operations. The candidate will need to develop strong relationships with the country, and region finance teams as well as Corporate functions to ensure success.ResponsibilitiesThis position reports to the Treasury Manager with responsibilities including but not limited to:Managing daily activity of the European cash pools. This includes the preparation of the daily cash flows, the consolidation of balances and completing the daily investment decisionAccurate processing of payment activitiesMonitoring of Cash, Investment and Debt reporting for Senior Treasury management reviewEnsure effective monthly processing of Global Netting CentreSupport the accurate reconciliation of bank activity and completion of periodic close process for corporate entities via the Treasury Management SystemSupport System Administration for banking platformsEnsure all activities undertaken comply with SOX and Operational controls and Treasury PoliciesCandidates will also have the opportunity to rotate roles within PepsiCo's broader Treasury team over time providing the opportunity to build skills and capabilities and become a well-rounded finance professional.QualificationsMinimum Qualifications:Bachelor's DegreePreferred Qualifications:Treasury / Banking experience in particular in area of cash management, ideally operating within a multinational environmentExperience working with Treasury Management Systems, electronic banking platforms or with banking partnersStrong accounting and finance skills and demonstrated track record of project implementationFinTech related project skillsHigh level of accuracy, numerical ability and agility, strong attention to detailAccustomed to working on projects and adhering to strict deadlinesTeam player with strong communication and interpersonal skills (both written and verbal)Working knowledge of/exposure to Internal Controls and SOX regulationsAbility to effectively communicate and advise senior leadersFor the purposes of external advertising we have called this role Assistant Analyst, Europe Treasury Operations. However please note that the internal job title the successful candidate will be Treasury Asst Analyst.