Welcome!
Our Growth is Creating Great Opportunities!
Our team is expanding, and we want to hire the most talented people we can. Continued success depends on it! Once you've had a chance to explore our current open positions, apply to the ones you feel suit you best and keep track of both your progress in the selection process, and new postings that might interest you!
Thanks for your interest in working on our team!
Primary Responsibilities
Ownership of global treasury policy
Responsible for key treasury processes, roles, responsibilities
Responsible Manager for a Team of 3 employees
Public company experience is required/recommended: The ideal candidate will have a proven track record of managing treasury functions within a public company, demonstrating a deep understanding of regulatory requirements and financial reporting standards
Cash & Liquidity Management
Maintain total ownership on access control and management of banking tools (e.g. DB Direct)
Global control and management of payment approval and processes
Responsible for weekly cash report and forecast
Ongoing working capital management and advice in financial terms to manage vendors and collections (i.e. provide financial instruments if needed)
Management of internal and external cash flows
Financing and Asset Management
Creditor Relations
Oversee payment signing authorities and processes whilst ensuring a 4-eye principle payment policy
Derivation of financing needs and analysis and arrangement of various financial instruments to secure long-term financing (equity and debt financing)
Provision of trade finance, such as guarantees and letter of credits
Ongoing rating assessment
Financial Risk Management
Identification, control and monitoring all financially relevant risks (i.e. interest rate, currency)
Execution and controlling of relevant hedging activities
Monitoring of financial risks resulting from other corporate functions, such as counterparty risk
Peer Group analysis
Prepare and take part in analyst conferences, investor conferences, roadshows, AGM
Coordinate with legal counsel to ensure compliance on regulatory matters
Communication with all investors (private, institutional, etc.)
Manage IR Budget and contracts
Supplementary Responsibilities
Support annual and quarterly reports in terms of IR and financial risks
Support M&A in terms of financing, valuation and external communication
Support 4-years plan with cash flow modelling
Support accounting with respect to accounting of treasury instruments
Active decision support including the flagging of challenges, problem & risk management, continuous analysis regarding improvements and related measures
Financial support for all other relevant topics
Customers (Internal & External):
Internal
CFO
CEO
Global finance Strategic purchase
External
Creditors / Banks Shareholders / Investors Equity analysts
Supplier Customers
Skills / Qualifications / Training / Experience:
Degree in Business Administration or equivalent 8 years of professional experience in finance in global companies or banks
Systematic understanding and hands on experience of treasury processes
A thorough understanding of daily cash management, payment processing, intercompany netting, FX and interest rate derivatives, intercompany loans, and direct method cash flow reporting.
Strong communication, leadership, consulting, influence and negotiation skills applied across a global organization
Experienced Financial Modeling skills Excellent knowledge of MS Office (esp. Excel and Powerpoint)
Experience in project management
Excellent English language skills
Excellent understanding of accounting standards (e.g. IFRS)
Ready to travel globally
Personnel Skills
Analytical thinking
Ability to work structured and efficient
Process orientated
Accountability
Attentive to detail
Stress resistant
Strong customer focus
Team player
Ability to communicate and develop relationships across all organizational levels
Ability to motivate the team Proven leadership experience
Success Criteria:
Ability to work effectively in a team-oriented environment
Ability to work independently driven by self-initiative and self-motivation
Excellent and prompt service to all internal and external customers
Pro-active and responsive communication
This position is an on-site/hybrid position. Candidates must live in or be willing to relocate to the Madison County area near our headquarters in Huntsville, Alabama.
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