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Industry leading company with a strong global presence and a commitment to growth, seeking an experienced and dynamic professional to lead Treasury & Tax function and drive strategic financial decisions.
Job Responsibility:
Lead the treasury function, including cash management, liquidity forecasting, and funding strategies
Oversee tax planning, compliance, and reporting for local and international operations
Collaborate with senior management on strategic financial initiatives and capital structure optimization
Ensure adherence to tax regulations and financial compliance standards across multiple jurisdictions
Develop and maintain relationships with financial institutions, auditors, and tax advisors
Manage and mitigate financial risks related to currency, interest rates, and liquidity
Provide strategic insights and reporting to the executive team on financial health, cash flows, and tax strategies
Requirements:
Minimum 10 years of experience in treasury management, with at least 2 years in a leadership role
Experience in treasury management, financial regulations, Forex, and corporate finance
Knowledge of financial regulations (preferably with experience in tax laws)
Proven track record in working with and managing relationships with financial institutions, financial strategy, risk management, and cost optimization
Strong communication, problem-solving skills and leadership
Ability to work in a fast-paced, global environment and manage cross-functional teams