Required Treasury Analyst.
DESCRIPTION:
– Back office for company's FX hedging activity.
– Analyze company's global FX exposure hedging activity compared to policy.
– Global cash flow actual and planning and analyzing, as well as budget planning.
– Support company's subsidiaries with company's global banking platform.
– Participate in various projects related to cash management and cash forecasting.
DESCRIPTION:
– Back office for company's FX hedging activity.
– Analyze company's global FX exposure hedging activity compared to policy.
– Global cash flow actual and planning and analyzing, as well as budget planning.
– Support company's subsidiaries with company's global banking platform.
– Participate in various projects related to cash management and cash forecasting.
Requirements:
– BA in Accounting or Business administration or in economics.
– 2-4 years experience in treasury roles in a corporate treasury team of a global company.
– Experience in SAP and/or BI advantage.
– English speaking and writing must.
– BA in Accounting or Business administration or in economics.
– 2-4 years experience in treasury roles in a corporate treasury team of a global company.
– Experience in SAP and/or BI advantage.
– English speaking and writing must.
This position is open to all candidates.