Anunciado 24 de marzo 
 (Publicada de nuevo)
Esta oferta no acepta candidaturas
Tipo de jornada
Sin especificar
Tipo de contrato
Sin especificar
Salario
Salario sin especificar
Estudios mínimos
Sin especificar
Nivel
Sin determinar
Número de vacantes
1
Número de inscritos
5
Tags Relacionados
Descripción del empleo
  • 4 days teleworking and 1 day at office|flexible schedule

This company is a multinacional leader in the industrial sector.




  • Management of Group's cash and borrowings

  • Cash flow forecast accurady, funding of Group's holding and affiliates

  • Management of foreign exchange risk

  • Management of Treasury reports

  • Management of Transfer pricing process

  • Implementation of hedges in compliance with Group's policy and analysis of foreign exchange impact


  • Professional development

  • Home office 4 days / office 1 day

  • Indefinite contract

  • Flexible schedule



Requisitos mínimos
  • Bachelor's degree in finance and accounting

  • 4-5 years of experience in finance and at least 3 years in treasury

  • Should have a thorough understanding of credit facilities, derivatives, hedging, investments, bank account management, and international funds flows.

  • Hands on experience in financial controlling and budgeting

  • English fluent both orally and in writing - any additional language will be an advantage

  • Dyn 365 would be a plus.

  • Good communication skills, able to communicate effectively at all organizational levels.



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