Treasury Manager

Publiée le 16/04/2024

Michael Page Luxembourg logo

Michael Page Luxembourg


Temps de travail
Type de contrat
Langues parlées
EN
Expérience professionnelle
Niveau d'étude
  • Our client is expanding its activities in Luxembourg and is willing to recruit their next Treasury Manager.

Client Details

  • Our client is a multinational company.

Description

  • Improve the accuracy and timelines of cash reporting and forecasting.
  • Consolidate and publish the Group's short-term cash forecast on a weekly basis.
  • Lead monthly, quarterly and annual Treasury reporting and budgeting.
  • Implement processes to increase efficiency of cash pooling and liquidity availability.
  • Manage centralized cash pools and Treasury / HQ payments.
  • Support implementation of funding structures and facilities.
  • Support trade finance / leasing requirements and interest rate / commodity risks.

Profile

  • 8-10 years experience in large international corporate treasury departments.
  • Fluent in English. French is a strong asset.
  • Solid direct experience with global cash management, bank system portals and bank relationships.
  • Good understanding of accounting and financial reporting.
  • Excellent task management, communication skills and ability to work with multi-functional and multi-national teams essential.

Job Offer

An excellent working environment.

Michael Page Luxembourg logo

Michael Page Luxembourg

31 Avenue Pasteur
2311 Luxembourg
Luxembourg

Recrutement Michael Page Luxembourg

Treasury Manager

Postulez en ligne

Treasury Manager

Postuler