Treasury Manager with focus on Financial Risk Management:
Responsibilities:
1. Review & develop the Groups hedging strategy & group-wide hedging processes in close collaboration with the VP Treasury
2. Develop & monitor effective measures for financial risk identification
3. Develop regular FX exposure and provide guidance on hedging activities
4. Evaluate the Groups hedging effectiveness
5. Trading of FX derivatives (mainly via 360T)
6. Review & develop the Groups investment strategy & group-wide investment processes in close collaboration with the VP Treasury
7. Manage the Groups investments portfolio and seek ways to improve profitability in interest income
8. Trading of investment instruments (mainly via 360T)
9. Develop financial risk management infrastructures (processes, DRV/ISDA, Accounts, Tools, Connectivity, Relationships)
10. Support the VP Treasury with financing projects
11. Ensure compliance with processes, policies & controls (incl. SOX)
Required qualifications:
12. Degree in Business, Finance, Banking or another related field
13. Further professional qualification (e.g. CFA) is a plus
14. 5+ years relevant experience in Corporate Finance, Treasury, Banking
15. Fluent in English, German is a plus
16. Excellent user skills in MS Excel & Power Point
17. ERP user experience with IFS and SAP is a plus
Further ideal qualifications:
18. Outstanding communication skills
19. Outstanding analytical and technical skills
20. Change management skills
21. Willingness to take responsibility
22. High degree of self-motivation and intrinsic drive for improvement
FR : Dans le cadre de sa politique Diversité, Evotec étudie, à compétences égales, toutes les candidatures dont celles des personnes en situation de handicap.
ENG : In the frame of our Diversity policy, Evotec considers, with equal competences, all applications including people with disabilities.