Dein persönlicher KI-Karriere-Agent
Global treasury strategy development and execution for pharmaceutical API manufacturing. Extensive treasury and corporate finance experience required. Short-term and long-term incentive programs, flexible hours.
Deine Match-Analyse
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Anforderungen
- Bachelor's degree in Finance, Accounting, Economics, or related field
- Master's degree (MBA, Finance, Economics) preferred
- Professional treasury qualifications (CTP, ACT, CFA, CAIA, or equivalent) desirable
- Extensive treasury and corporate finance experience
- Previous experience in accounting and/or tax
- Significant experience leading treasury functions in multinational organization
- Cash flow planning and management impact
- Capital structure optimization impact
- Hedging strategies impact
- Global liquidity management experience
- Financing management experience
- Financial risk management programs experience
- Strong exposure to capital markets
- Strong exposure to debt financing
- Strong exposure to banking negotiations
- Experience supporting M&A activities
- Experience supporting integration activities
- Experience supporting international expansion activities
- Prior leadership experience managing global teams
- Strong knowledge of treasury systems and technology
- Strong usage of treasury systems and technology
- Solid business acumen
- Ability to manage various stakeholders
- Impactful presentation skills
- Impactful communication skills
Aufgaben
- Develop and execute global treasury strategy
- Lead the treasury team
- Advise CFO and Executive Leadership Team on capital allocation, liquidity, financing, and risks
- Lead liquidity and cash management, including global cash forecasting and planning
- Drive capital structure and financing strategies
- Manage debt portfolio, credit facilities, and financing arrangements
- Lead financing transactions, refinancing, and capital market initiatives
- Support M&A transactions, divestitures, and restructuring
- Manage financial risks, including FX, interest rate, counterparty, commodity, and liquidity
- Implement hedging strategies
- Monitor market developments and assess financial exposure
- Manage global banking relationships and negotiate agreements
- Coordinate with rating agencies, lenders, investors, and advisors
- Ensure efficient treasury operations and cash management processes
- Maintain strong internal controls and regulatory compliance
- Oversee treasury systems and technology platforms
- Support corporate finance and strategic projects, including capital investment decisions and business case reviews
Berufserfahrung
Ausbildung
Sprachen
Tools & Technologien
Benefits
- Short-term incentive programs
- Long-term incentive plan
- Flexible working hours
- Hybrid work options
- Accident and health insurance
- Active health management
- Discounted fitness memberships
Von Nejo automatisch aufbereitet
Nejo hat diesen Job automatisch von der Website des Unternehmens Siegfried AG erfasst und die Informationen auf Nejo mit Hilfe von KI für dich aufbereitet. Trotz sorgfältiger Analyse können einzelne Informationen unvollständig oder ungenau sein. Bitte prüfe immer alle Angaben in der Originalanzeige! Inhalte und Urheberrechte der Originalanzeige liegen beim ausschreibenden Unternehmen.
Zur Originalanzeige bei Siegfried AGÜber das Unternehmen
Das Unternehmen ist ein globaler Partner der pharmazeutischen Industrie und stellt sichere Arzneimittel für Patientinnen und Patienten weltweit her.
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