Cégleírás / Organisation/Department
Our client is a global healthcare company who delivers increased access to affordable, quality medicines for patients worldwide, regardless of geography or circumstance.
Sounds like your ideal next opportunity? If so, then please read on!
Pozíció leírása / Job description
- Report daily cash balances and short-term forecasts for EMEA & NAM across multiple entities.
- Collaborate with the Treasury COE Liquidity & Forecasting team to ensure accurate cash flow forecasts.
- Execute monthly intercompany netting processes and loan transactions in FIS Integrity.
- Manage intercompany loan documentation and bank account mandates, including signatory updates.
- Work with treasury and accounting teams to resolve GIS treasury-related issues.
- Provide treasury guidance, training, and support to departments and subsidiaries.
- Coordinate with internal and external auditors.
- Assist the Treasury Assistant Manager with projects and process improvements.
- Handle general treasury-related queries and administrative tasks.
Elvárások / Requirements
- A bachelor’s degree is required, preferably in Finance or Business.
- At least 1 year of experience in a treasury role or a similar position within a multinational company.
- Strong proficiency in Excel.
- Fluency in English (spoken, written, and comprehension) is required.
- Fresh graduates are also welcome to apply
Amit kínálunk / Offer
Do you think in advancing your career with a global healthcare company which believes in healthcare as it should be – empowering people worldwide to live healthier at every stage of life?
Our partner is offering:
- Yearly bonus opportunity
- 4 days home office
- Diverse, international team
- Friendly and human-scale environment
- Competitive benefit package
Kapcsolattartó / Information
If you have any questions or concerns, do not hesitate to contact:
Hesz Attila ()