Offer summary
Qualifications:
Bachelor's degree in Finance or related field, Minimum 3 years of finance experience, 2 years in Treasury Corporate Finance, Proficiency in Excel financial modeling, Experience with foreign exchange hedging required.
Key responsabilities:
- Assist with global hedging operations and reporting
- Evaluate financing alternatives to manage risks
- Maintain cash flow forecasts for liquidity management
- Analyze investments and track exposures to currency risks
- Support treasury-related projects and maintain relationships within the organization