Treasury Role Overview
Our international organization, based in Geneva, requires an individual to oversee all treasury activities. This includes managing account reconciliation, generating reports, and providing assistance for audits.
1. Manage Treasury Activities: Ensure seamless execution of day-to-day treasury operations.
2. Hedge Accounting Management: Set up and handle hedge accounting standards IFRS 9 and IFRS 7.
3. Credit Risk Pricing: Price deals for credit risk.
4. Budgeting and Forecasting: Deliver treasury budgeting and forecasting solutions.
5. Ad Hoc Financing Support: Provide support to the Group treasurer with ad hoc financing tasks.
This role involves operating in a dynamic, international work environment with significant strategic impact.
Required Skills and Qualifications
* A background in treasury, including relevant experience from Big 4 or risk management.
* Proficiency in hedge accounting, transfer pricing, and intercompany loan management.
* Aptitude for working in multinational environments.
* Professional proficiency in English; knowledge of additional languages is advantageous.
The ideal candidate will possess excellent analytical skills and be able to effectively communicate complex ideas.
Benefits
Join our team and contribute to impactful responsibilities for the business while enjoying opportunities for professional growth and development.