Are you ready to take on a visionary role in global Treasury strategy?
* You will define and shape the company's financial risk management policies, working closely with senior stakeholders.
Responsibilities
You will be responsible for managing the company's internal and external risk exposure, including FX and rate positions, and ensuring effective mitigation strategies are implemented.
This role requires strong analytical skills and the ability to provide clear guidance to team members, while fostering collaboration within the organization.
Effective communication and stakeholder management are crucial in this position.
* Qualification: University degree in economics or a related field.
* Experience: 3-5 years of experience in a comparable role, preferably within an international corporate context.
Key skills include:
* Strategic mindset and analytical skills.
* Strong negotiation and communication skills.
* Ability to work in a dynamic environment and adapt to changing circumstances.
We offer a competitive remuneration package, flexible working models, and a range of benefits to support your career development and well-being.
About This Role
This is a dynamic and purpose-driven role that offers the opportunity to shape the company's financial future.
The ideal candidate will have a passion for actively shaping their business environment and a commitment to excellence.
* A visionary leader who can drive change and innovation.
* A strategic thinker who can analyze complex data and develop effective solutions.
* A collaborative team player who can build strong relationships with colleagues and stakeholders.