Job Responsibilities:
Manage all treasury activities: account reconciliation, reporting, and assistance for audits.
Set up and handle hedge accounting standards IFRS 9 and IFRS 7.
Price deals for credit risk.
Deliver treasury budgeting and forecasting.
Support the Group treasurer with ad hoc financing tasks.
Minimum Requirements:
Treasury background, whether relevant Big 4 experience or risk management, for instance.
Proficiency in hedge accounting, transfer pricing, and intercompany loan management.
Interest in multinational environments.
Professional proficiency in English; knowledge of additional languages is a plus.
Opportunity:
This position offers the chance to join a dynamic international environment with impactful responsibilities and opportunities for professional growth.
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