O pozici
Are you seeking a central role in an international treasury department, offering strong opportunities for career growth and making a meaningful impact within a group that provides healthcare and emergency response services across Europe, the US, and South America? Falck is inviting you to join our team as a Treasury Manager in Global Tax & Treasury, which is part of Global Finance.
Co budeš dělat
- Liquidity management and ongoing development of the group's cash management set-up, including ERP integration support
- Group and subsidiary funding and financial risk management
- Bank relationship management
- Treasury-related ad hoc analysis and project work in close cooperation with other finance teams and stakeholders across the group
- Treasury reporting to executive management
- Supporting the organisation as a specialist on financial and treasury-related matters, including trade finance (e.g. guarantees)
Koho hledáme
- We are looking for someone who enjoys analysing complex problems and takes pride in managing daily operations with a high level of quality and attention to detail. You are a team player with strong drive and the ability to apply your practical knowledge to real operational challenges into practical solutions with great collaboration skills and stakeholder management. We expect you to have a few ye
- You hold a relevant education, such as a master’s degree in finance or similar.
- You also have strong analytical skills and solid knowledge of treasury, financial instruments, and banking products in general. We believe that having a technical interest in optimising treasury processes with AI is a bonus. You are highly proficient in Excel and fluent in English.
Benefity
- An inspiring workplace characterised by an informal and positive tone among colleagues in a dynamic and international setting. Falck is on an exciting journey based on our Care for More ‘27 strategy, and development, optimisation, and change are part of our daily work.