Die KI-Suchmaschine für Jobs
Treasury Manager(m/w/x)
Beschreibung
In this hands-on role, you will drive financial stability by managing EMEA liquidity, mitigating FX risks, and optimizing global banking structures to ensure efficient treasury operations.
Lass KI die perfekten Jobs für dich finden!
Lade deinen CV hoch und die Nejo-KI findet passende Stellenangebote für dich.
Anforderungen
- •Degree in Finance, Banking, or related field
- •Swiss Certified Treasury, CFA, or similar plus
- •Eight years of professional experience
- •Five years Corporate Treasury experience
- •Expertise in cash management and operations
- •Experience with Treasury Management Systems
- •Advanced Excel skills
- •Knowledge of intercompany funding and finance
- •Understanding of hedge accounting
- •Analytical and solution-oriented mindset
- •Excellent communication and cross-functional skills
- •Fluent English and German advantage
Ausbildung
Berufserfahrung
8 Jahre
Aufgaben
- •Manage Group and subsidiary liquidity across multiple currencies
- •Oversee external loans and intercompany funding structures
- •Improve cash forecast accuracy across EMEA entities
- •Monitor cash flow against established targets
- •Analyze and manage foreign exchange and interest rate exposures
- •Execute and monitor diverse hedging strategies
- •Support business units in mitigating FX risks
- •Manage the intercompany loan portfolio with key stakeholders
- •Support cash repatriation processes to Switzerland
- •Optimize the global bank structure and e-banking solutions
- •Negotiate banking terms and monitor service fees
- •Manage guarantees, bonds, and letters of credit
- •Advise business units on trade finance topics
- •Drive automation of treasury processes and systems
- •Serve as the technical lead for Treasury Management Systems
- •Support cash management and intercompany interest calculations
- •Lead and participate in treasury-related projects
- •Contribute to treasury policies and management reporting
Tools & Technologien
Sprachen
Englisch – verhandlungssicher
Deutsch – Grundkenntnisse
Benefits
Flexibles Arbeiten
- •Hybrid workplace
- SchindlerVollzeitnur vor OrtBerufserfahrenEbikon
- Partners Group AG
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Senior Fund Liquidity Professional(m/w/x)
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Vollzeitnur vor OrtManagementCham
Treasury Manager(m/w/x)
Die KI-Suchmaschine für Jobs
Beschreibung
In this hands-on role, you will drive financial stability by managing EMEA liquidity, mitigating FX risks, and optimizing global banking structures to ensure efficient treasury operations.
Lass KI die perfekten Jobs für dich finden!
Lade deinen CV hoch und die Nejo-KI findet passende Stellenangebote für dich.
Anforderungen
- •Degree in Finance, Banking, or related field
- •Swiss Certified Treasury, CFA, or similar plus
- •Eight years of professional experience
- •Five years Corporate Treasury experience
- •Expertise in cash management and operations
- •Experience with Treasury Management Systems
- •Advanced Excel skills
- •Knowledge of intercompany funding and finance
- •Understanding of hedge accounting
- •Analytical and solution-oriented mindset
- •Excellent communication and cross-functional skills
- •Fluent English and German advantage
Ausbildung
Berufserfahrung
8 Jahre
Aufgaben
- •Manage Group and subsidiary liquidity across multiple currencies
- •Oversee external loans and intercompany funding structures
- •Improve cash forecast accuracy across EMEA entities
- •Monitor cash flow against established targets
- •Analyze and manage foreign exchange and interest rate exposures
- •Execute and monitor diverse hedging strategies
- •Support business units in mitigating FX risks
- •Manage the intercompany loan portfolio with key stakeholders
- •Support cash repatriation processes to Switzerland
- •Optimize the global bank structure and e-banking solutions
- •Negotiate banking terms and monitor service fees
- •Manage guarantees, bonds, and letters of credit
- •Advise business units on trade finance topics
- •Drive automation of treasury processes and systems
- •Serve as the technical lead for Treasury Management Systems
- •Support cash management and intercompany interest calculations
- •Lead and participate in treasury-related projects
- •Contribute to treasury policies and management reporting
Tools & Technologien
Sprachen
Englisch – verhandlungssicher
Deutsch – Grundkenntnisse
Benefits
Flexibles Arbeiten
- •Hybrid workplace
Über das Unternehmen
Landis+Gyr
Branche
EnergyAutomation
Beschreibung
Das Unternehmen führt die Transformation hin zu einer intelligenteren und nachhaltigeren Energiezukunft an und bietet moderne Messtechnik sowie Datenanalysen.
- Schindler
Global Treasury Specialist(m/w/x)
Vollzeitnur vor OrtBerufserfahrenEbikon - Partners Group AG
Head Treasury Trading(m/w/x)
Vollzeitnur vor OrtSeniorBaar - Citrus Global
Operational Risk Controller (treasury specialist)(m/w/x)
Vollzeitnur vor OrtManagementZug - Partners Group AG
Senior Fund Liquidity Professional(m/w/x)
Vollzeitnur vor OrtSeniorBaar, Zug - Landis+Gyr
Head of Finance Switzerland(m/w/x)
Vollzeitnur vor OrtManagementCham