Treasury Manager Cash & FX à 80%
At Factofinance, our objectives is to give a best in class service to internal clients as being the corporate finance share service center for Switzerland, ensure compliance to accounting & tax rules to secure our operations and monitor cash and credit management for the Group.
In order to achieve these objectives, we have set key priorities in line with the 5 pillars of the Group Strategy (people centric, brands builder, consumer obsessed, digitally minded, responsible beauty committed).
Key figures and Business figures:
- 11 employees
- Turnover 219: 35M; total bilan: 165M€
Ensure compliance to regulation, protect & develop assets, propose a best in class service to internal clients
The mission is to permit Clarins to be operational and efficient at a swiss entities level regarding its banking activity, while identifying and mitigating main risks.
- Ensure that the cash management and FX risks management are performed correctly and on time to operate efficiently
- Coordinate with swiss accounting team for month-end closing
- Swiss signatories update and KYC support
- Education/Degree:
- Master
- Background including total years of experience
- corporate treasury (5 years)
- Technical skills:
- Cash management, FX, Banking world, MS Office,
- Languages:
- French, English
- Soft and Leadership Skills:
- Team work, decision-making, solution proposal
- Finance & Legal
- Plan-les-Ouates, Switzerland
- Fixed-term
- 11 Sep 2024