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Holcim

Treasury and M&A Officer

Posted Today

Job Description

  • Monitor the company’s cash and liquidity management, ensuring sufficient funding to support business operations.
  • Prepare and monitor cash flow forecasts and support effective working capital management.
  • Manage the local FX hedging strategy by analyzing accounts receivable and payable exposures and executing hedging transactions.
  • Prepare the annual consolidated treasury budget and support financial planning activities.
  • Maintain relationships with local and international banks, negotiating terms and supporting the implementation of banking instruments.
  • Improve and redesign treasury reporting, enhancing automation and efficiency of reporting processes.
  • Ensure adequate insurance coverage for Holcim’s assets in Greece, including structuring tailored insurance contracts and managing related claims.
  • Evaluate financial performance of potential M&A targets during due diligence period.
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    10001+ employees
    Zug, CH
    Website