Specialist Treasury (m/w/d) at CHEPLAPHARM Arzneimittel GmbH
Berlin, , Germany -
Full Time


Start Date

Immediate

Expiry Date

17 Oct, 25

Salary

0.0

Posted On

18 Jul, 25

Experience

3 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Analytical Skills, Cash Management, Economics, Interest Rates, English, Team Spirit

Industry

Financial Services

Description
  • Berlin
  • Greifswald
    We are a global and growing speciality pharmaceutical company with an exceptional, sustainable business model. Our mission: to be THE platform for established and trusted branded products in various therapeutic areas and indications and to ensure their availability in the highest quality as an important partner of the innovation-driven pharmaceutical industry for the global market!
    We have a common goal: to improve people’s health and lives. That’s why we don’t think in terms of quick effects, but want to achieve more with our actions - in the long term and reliably.
    As a Treasury Specialist, you will play a central role in our corporate financing and thus make a significant contribution to our company’s success. Our Treasury department is a part of our CFO-Resort and currently consists of three colleagues based in Berlin.

YOUR QUALIFICATIONS:

  • You have successfully completed a degree in economics, ideally specialising in (corporate) finance, or a comparable professional qualification.
  • You have at least 3 years of relevant professional experience, ideally in corporate treasury or at banks.
  • You are characterised by strong analytical skills and a high level of solution orientation.
  • You have extensive experience in cash management, ideally in areas such as short-term liquidity planning, cash investments, payment transaction systems or account management.
  • You are adept at dealing with exchange rates, interest rates, macroeconomic factors and market mechanisms.
  • Very good knowledge of MS Office programmes (especially MS Excel) is a matter of course for you.
  • You communicate confidently in German and English.
  • Knowledge in dealing with or in the administration of treasury management systems is an advantage.
  • You show initiative, team spirit and a willingness to get actively involved in projects.
Responsibilities
  • Assume responsibility as a contact person for banks and (financial) service providers.
  • Ensure the solvency of the holding companies at all times and monitor liquidity and payment transactions.
  • Plan, manage and optimise the Group’s liquidity - be responsible for liquidity planning, cash pooling, working capital management and cash investments.
  • Support the technical administration and continuous development of our treasury management system.
  • Play an active role in the closing, confirmation and reporting of internal and external hedging and financing transactions (FX and interest).
  • Participate in the continuous improvement, standardisation and digitalisation of the Group’s finance and treasury processes.
  • Coordinate financial topics with subsidiaries and other financial areas of the Group.
  • Support financing and cash management projects.
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