OBS! Ansökningsperioden för denna annonsen har
passerat.
Arbetsbeskrivning
As a Treasurer at Tetra Pak, you will join a new area of finance responsibilities compared to a traditional finance department.You will be working in a global environment with several international contacts, new tools and processes.At Tetra Pak you will be contributing to your own development in an exciting company that aims for continuous improvement.
The Treasury department handles the liquidity and cash management for Sweden and several European countries.You will be working in a group with three colleagues.It's a tight team where job rotation is necessary in order to be able to cover up for each other.The work involves many contacts daily with some of the largest banks in Europe as well as our main office in Lausanne, Switzerland.
Your main responsibilities will be to actively support client companies with cash management responsibilities, such as:
- Daily liquidity planning
- Liquidity analysis
- Interest calculations
- Client support
- Continuous improvements projects
Kvalifikationer
We are looking for a responsible and driving team player, who is thorough, analytic and have a service minded approach.
We expect you to have at least three years of economic education from upper secondary school and minimum three years of experience from finance/accounting and/or bank.You have good skills in Microsoft Excel and preferably experience from SAP R/3.Your English is excellent and other language skills are an advantage.
Due to Tetra Laval Finance & Treasury planning, the timing for daily responsibilities is fixed to be conducted in the morning between 8 and 12.
For information about your application, please contact recruiter Magnhild Owman at
AB Tetra Pak is a management company for Tetra Pak's operations in Sweden, and serves as the parent company for some 13 subsidiaries.AB Tetra Pak is also the host for a number of global units within the Tetra Pak group.Our company has approx.380 employees.