Client Details International Manufacturing Group
Description This role reports to the Head of Financial Reporting & Accounting and is based in Fribourg. It involves responsibilities such as:
Treasury team management, including leading, managing, and developing a high-performing team of 8 members, fostering collaboration.
Strategic leadership & optimization of the European Payment Factory, including process analysis, system management, and vendor payment process improvements.
Operational management & risk mitigation, ensuring security and resolving anomalies.
Financial planning & support, including cash flow forecasting and reconciliation of payments and warranties.
Leading projects and data analysis to improve treasury efficiency, defining KPIs, and driving continuous improvement initiatives.
Profile Personal Skills High integrity and strong work ethic
Reliable, diligent, with risk-management skills
Solution-oriented with problem-solving abilities
Structured, with a capacity to consolidate information
Technologically savvy and experienced in project management
Creative, critical thinker, and driver of continuous improvement
Capable of working in a fast-paced, complex environment
Education, Experience, and Core Competencies University degree in Corporate Finance or related field; professional qualifications (e.g., ACT, CTP, ACCA) are assets
Minimum 5 years' experience in Treasury, Corporate Finance, or Financial Audit within a global treasury context, focusing on vendor payments
Big4 experience is a plus
Experience in people management
Proficiency with treasury-related software (FIS Integrity, SAP FICO/CFM, ACL, Celonis) and Microsoft Office Suite (including Power BI)
Fluent in French and English
Job Offer Join a great group with excellent opportunities for growth and development.
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