About Us
We are seeking a highly skilled professional to join our team as a Treasury and Financial Reporting Expert.
Job Responsibilities:
* Treasury Activities Management: Manage all treasury activities including account reconciliation, reporting, and assistance for audits.
* Hedge Accounting: Set up and handle hedge accounting standards IFRS 9 and IFRS 7.
* Credit Risk Pricing: Price deals for credit risk.
* Treasury Budgeting and Forecasting: Deliver treasury budgeting and forecasting.
* Ad Hoc Financing Tasks: Support the Group treasurer with ad hoc financing tasks.
Requirements:
* A strong background in treasury or relevant experience from Big 4 firms or risk management.
* Proficiency in Hedge Accounting: Proficiency in hedge accounting, transfer pricing, and intercompany loan management.
* Multinational Environment: Appetite for multinational environments.
* Language Skills: Professional English language skills; any other language is an asset.
What We Offer:
The opportunity to join a dynamic international environment with impactful responsibilities for the business, and room for professional growth.