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Managing the treasury operations for multiple entities and countries,
Analysis and monitoring of bank balances & cash pooling
Monitoring of deposits and interests
Assess the FX balance sheet exposure
Place hedge deals via group treasury system OR directly with local banks
Maintaining hedging portfolio
Assessing effectiveness of hedges
Monitoring and communication of exchange rates
Monitor and manage loan drawdowns and repayments
Cashflow forecast reporting (entity level information only) and review local entities/business units’ submission
Bank facility arrangement
Other ad hoc duties as assigned
Requirements
A degree in Finance/Accountancy/Business or its equivalent with at least 3 years' relevant treasury experience within a bank/MNC organization.
Have good knowledge in Treasury front/mid-office functions with strong familiarities in cash and FX risk management.
Strong communication skills with ability to work independently as well as in a team.
Good attention to details is a good must.
High proficient with Microsoft Excel
Familiar with SAP
Your Application
To ensure that your application is proceeded as quickly as possible and to protect the environment, please apply online via our careers portal. Further information about Evonik as Employer can be found at https://careers.evonik.com.
Please address your application to the Talent Acquisition Manager, stating your earliest possible starting date and your salary expectations.
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