Start Date
Immediate
Expiry Date
09 Jul, 25
Salary
0.0
Posted On
06 Jun, 25
Experience
5 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Good communication skills
Industry
Financial Services
Work Your Magic with us!
Ready to explore, break barriers, and discover more? We know you’ve got big plans – so do we! Our colleagues across the globe love innovating with science and technology to enrich people’s lives with our solutions in Healthcare, Life Science, and Electronics. Together, we dream big and are passionate about caring for our rich mix of people, customers, patients, and planet. That’s why we are always looking for curious minds that see themselves imagining the unimaginable with us.
Everything we do in Electronics is to help us deliver on our purpose of being the company behind the companies, advancing digital living. We are dedicated to being the trusted supplier of high-tech materials, services and specialty chemicals for the electronics, automotive and cosmetics industries. We foster a global collaborative organization made up of individuals who have the passion to win, obsess about the customer, are relentlessly curious and act with urgency. Together, we push the boundaries of science to make more possible for our customers.
We are seeking a highly experienced Treasury Expert to join our Surface Solutions finance team. The Surface Solutions business unit, a mid-sized multinational leader in the pigments industry, is subject to a planned divestment to the company Global New Materials International (GNMI), headquartered in China, as of August 1st 2025. This role will be part of the divestment.
Surface Solutions is planned to become a standalone business under GNMI ownership. In this context, a fully-fledged, dedicated Finance function needs to be build up for Surface Solutions. The Treasury Expert is vital to establish and run key treasury processes for the newly independent Surface Solutions business, a company with three production sites and over 15 legal entities across more than 10 countries.
You will run the cash flow forecasting process on a legal entity level in close collaboration with the business, drive forecast quality through variance analysis, safeguard forecast timelines and oversee forecast consolidation. You will execute daily treasury operations activities, including cash management, bank account management, treasury technology administration, master data and bank reconciliations. You will also support financial risk management by establishing and monitoring FX exposure reporting, execution of FX trading and hedging activities and monitoring of other financial risks.