João Paulo Silva
Treasury Specialist at Ascendum Group- Claim this Profile
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Portuguese Native or bilingual proficiency
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English Professional working proficiency
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Spanish Elementary proficiency
Topline Score
Bio
Experience
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Ascendum Group
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Portugal
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Retail
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1 - 100 Employee
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Treasury Specialist
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Jul 2022 - Present
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Pestana Hotel Group
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Hospitality
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700 & Above Employee
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Treasury and Cash Management Senior Assistant
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Jun 2018 - Aug 2022
On top of the previous responsibilities, the work as Treasury and Cash Management Senior Assistant at Pestana Hotel Group has the following ones:- Cash Position Reporting;- Very Short Term Cash-Flow Forecasting and Ensure that funds are disbursed in order to meet all responsibilities;- Implementation of new collection methods;- Implementation of collection methods and procedures in new business units;- Optimization/Automation of posting flows between different systems as Metacase and Homebanking and SAP ERP. Show less
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Treasury and Cash Management Assistant
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May 2016 - Aug 2022
The work in Pestana Hotel Group’s centralized Treasury and Cash Management Department has the objectives of minimizing the costs and risks associated with all in and out financial transactions, at the same time enhancing the unique features of a Turism and Leisure Hotel Group, as well as improving and standardization of collecting, paying and debt managing procedures of a group that extends over 30 companies, 80 hotel units, 15 countries and 3 continents and that is expanding itself fast. Below some of the responsibilities and projects accomplished:- Ensure that all transactions in the hotels are recorded properly;- Daily reconciliation the accounting reports in SAP ERP environment with the bank statement, investigating any differences that may occur;- Ensure that differences are promptly reported and confirm if justifications are valid;- Keep an active relationship with hotel’s and other Central Services colleagues, supporting them with any accounting concern;- Support month-end closing activities for reporting and bank reconciliation;- Create and execute payment processes in different financial systems, as SEPA, Bill Payments, ACH and CHAPS;- Standardization of the Currency Purchase to the final customers at hotels’ Front-Office process;- Creating and Maintaining Financial Instruments at TRM and TRLO modules in SAP ERP;- Predict the liquidity needs of the companies and ensure that they are met. Show less
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Financial Controller
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Sep 2015 - May 2016
As part of a cross training program between financial teams of Pestana Hotel Group, spent 9 months as Financial Controller of 7 “Pousadas de Portugal”, being requested the successful achievement of the tasks below:- Business Unit Budgets’ preparation, collecting and integrating inputs from all Operational, HR, Financial and Sales teams involved in the business, ensuring that GOP and flow-through objectives are met; - Expenses validation accordingly with budgets predictions and business’s evolution;- Monthly and Annual results preparation with SAP BW;- Business analysis, helping the managers of each unit in decisions making and explaining positive and/or negative outcomes for each unit’s segment in each report;- Auditing revenue posting and collecting procedures, validating if the legal and internal proceedings were being met at each POS. Show less
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Treasury and Cash Management
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Jan 2013 - Sep 2015
Treasury and Cash Management
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Internship
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Aug 2012 - Jan 2013
Financial Department - Treasury and Accounts Payable Teams
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Education
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Universidade da Madeira
Undergraduate, Economics -
Universidade da Madeira / Instituto Superior de Contabilidade e Administração de Aveiro
Entreprise Simulation and Entrepreneurship, Accounting and Business/Management