Our client is an international company based in Geneva.
The role includes the following responsibilities:
1. Manage all treasury activities: account reconciliation, reporting, and assistance for audits.
2. Set up and handle hedge accounting standards IFRS 9 and IFRS 7.
3. Price deals for credit risk.
4. Deliver treasury budgeting and forecasting.
5. Support the Group treasurer with ad hoc financing tasks.
6. Operate in an international, dynamic work environment with strategic impact.
The candidate should possess the following qualifications:
* Treasury background, whether relevant Big 4 experience or risk management, for instance.
* Proficiency in hedge accounting, transfer pricing, and intercompany loan management.
* Appetite for multinational environments.
* Professional proficiency in English; knowledge of additional languages is a plus.
Join a dynamic international environment with impactful responsibilities for the business and opportunities for professional growth.
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