Our client is an international fast growing Commodity Trading group.
On behalf of our client, Swisslinx is looking for an experienced and hands-on Treasury Manager to join their expanding team in Zug and report to the CFO.
- Provide pricing of treasury instruments and funding of transactions using the companys balance sheet
- Manage cash management and ensure sufficient liquidity
- Execute FX hedging activities
- Responsible for treasury projects
- Raise funds in the market
- Process improvement and implementation
- +7 years of experience in a similar role
- Experience in running a treasury operation
- Fluent in English, Russian language skills would be a strong advantage
Whats on offer
Our client is a dynamic and expanding group offering a varied role with growth opportunities. It will be a challenging environment for the next few years.