Job description
Developing and implementing strategies to manage financial risk, funding operations and enhance cash flow efficiency. Overseeing the optimization of pension assets and liabilities. Leading, mentoring, and developing a high-performing treasury team, fostering a collaborative culture. Providing Treasury consulting for the region including M&A integration. Working closely with global and regional stakeholders as well as external parties. Staying updated on market trends including e-commerce. Ensuring all treasury activities comply with policies and regulations, and industry best practices. Providing insightful financial analysis and reporting to senior management, supporting decision-making processes.Benefits
Bachelor’s degree in finance, Accounting, Business Administration, or a related field. MBA or CFA preferred. 10+ years relevant Treasury experience with 3+ years in a leadership role. Extensive knowledge of financial markets and strategies in the field of cash, risk, and pension management. Leadership and team management skills, with the ability to motivate and develop a high-performing team. Excellent analytical and digital skills as well as strategical thinking. Strong communication and interpersonal skills, with the ability to collaborate effectively with stakeholders at all levels.