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Gehaltsübersicht für Treasury in Zürich

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Gehaltsübersicht für Treasury in Zürich

1 700 ₣ Durchschnittliches Monatsgehalt

Durchschnittliches Gehaltsniveau in den letzten 12 Monaten: "Treasury in Zürich"

Währung: CHF USD Jahr: 2024
Das Balkendiagramm zeigt die Änderung des Gehaltsniveaus in der Treasury Branche in Zürich

Ranking der ähnlichen Stellenangebote gemäß dem Gehaltsniveau in Zürich

Währung: CHF
Das Balkendiagramm vergleicht das Durchschnittsgehalt für die Abfrage "Treasury" mit dem Durchschnittsgehalt in den Verwaltungszentren des letzten Monats.

Empfohlene Stellenangebote

Treasury/Liquidity Risk Consultant
Rec2Tech Ltd, Zurich
4 - Month ContractHourly Rate: 113 CHF (Company payroll)Location: ZurichWorkload: 60% - 100%Language(s) Required: Fluent in German (Must-Have) We are working with a well-respected financial consultancy firm known for delivering comprehensive and innovative solutions in risk management for banks and financial institutions. We are currently seeking a highly skilled Treasury/Liquidity Risk Consultant, proficient in the German language, to join their dynamic team. If you have a proven track record in treasury and liquidity risk management and are passionate about providing expert guidance, we invite you to apply for this exciting opportunity. Job Description: As a Treasury/Liquidity Risk Consultant, you will play a vital role in supporting projects related to treasury and liquidity risk management for their clients. Your expertise and experience will be essential in delivering high-quality solutions and advisory services. Your primary responsibilities will include: Key Responsibilities: 1. Project Support: Collaborate with cross-functional teams to support projects covering treasury and liquidity risk management topics. Assist in the design, development, and implementation of solutions tailored to their clients' unique needs.2. Liquidity Risk Expertise: Apply your comprehensive knowledge of liquidity risk management and reporting to ensure their clients are compliant with industry regulations and best practices. Assist in developing strategies to optimize liquidity management.3. Banking and Financial Risk Management:  Leverage your at least 4 years of experience in banking or financial consulting, with a focus on financial risk management at banks, to provide in-depth expertise and insights to their clients. Assess and mitigate risks associated with financial products and operations.4. Communication: Utilize your strong written and verbal communication skills, particularly in the German language, to convey complex financial concepts and solutions clearly and effectively. Produce reports, documentation, and presentations to communicate findings to both technical and non-technical stakeholders.5. Client Relationship Management: Foster strong client relationships by understanding their specific requirements, offering sound recommendations, and providing expert guidance. Ensure client satisfaction by delivering high-quality results. Qualifications: To be successful in this role, you should possess the following qualifications: - A minimum of 4 years of experience in the banking or financial consulting industry, focusing on financial risk management at banks.- Previous experience in treasury or liquidity risk management and reporting.- Strong written and verbal communication skills, with proficiency in the German language.- A bachelor's or master's degree in finance, economics, or a related field.- Solid analytical and problem-solving skills, with the ability to interpret complex financial data.- A keen attention to detail and the ability to work collaboratively in a team environment.- Demonstrated ability to manage multiple projects simultaneously and meet deadlines.   Über das Unternehmen:Rec2Tech Ltd
Corporate FX & Balance Sheet Hedging Specialist 100% (f/m/d)
CH10 - BJB Bank Julius Baer & Co. Ltd., Zurich
At Julius Baer, we celebrate and value the individual qualities you bring, enabling you to be impactful, to be entrepreneurial, to be empowered, and to create value beyond wealth. Let’s shape the future of wealth management together. In this role you will deputize the Corporate FX and Balance Sheet Hedging (Hedge Accounting) head within the Treasury Department, working closely with Group Finance, CRO and Divisional stakeholders on the preparation, execution and documentation of group wide FX and Interest Rate Hedging and Hedge Accounting programs to minimize the impacts of FX and Interest Rate moves on Julius Baer’s reported results. A good understanding of the Financial Accounting rules regarding FX translation of P&L and capital and the financial measurement of hedging activities is a prerequisite for this role. YOUR CHALLENGE Analyze foreign exchange exposures from earnings (P&L), balance sheet and capital for the whole bank and implement efficient hedging strategies for protecting the bank against adverse FX moves on the P&L and capital as well as capital and leverage ratios Understand and develop the FX translation and conversion process of foreign currency P&L at legal entity level, Bank level and Group Level Perform a daily analysis of the FX exposure of Treasury consolidated (foreign currency P&L of Treasury and corporate actions) and manage this exposure within allocated risk limits. Manage the FX mix of capital and gain an in-depth understanding of the respective foreign currency capital structures into JBs legal entities. Drive IFRS 9 hedge accounting solutions for hedging the interest rate and FX risk in the Treasury banking book, Running the Treasury Hedge Accounting Tool for setting up new hedges and performing the hedge accounting effectiveness tests Involvement in project work with regards to hedge accounting and Corporate FX, e.g. setting up new hedging and hedge accounting structures with the aim to minimize the accounting volatility of economic hedges Interpret the monthly FX P&L of Treasury activities and the FX impact on capital and capital ratios to back test against reported FX exposures and sensitivities YOUR PROFILE University degree or equivalent in Economics or Finance Post-graduate qualification (e.g. CFA, FRM, CAIA) desirable Minimum 5-7 years of experience in Corporate FX Treasury and/or Treasury Analytics/Support Solid accounting skills with regards to measurement of Treasury products is a must, i.e. good understanding of IFRS (hedge) accounting rules Good understanding of Interest Rate and Foreign Exchange Products and Markets Excellent communication interpersonal skills with the ability to build and maintain relationships with a wide range of stakeholders Ability to work under pressure in a high-paced environment Business fluent in English and German (written and oral), any other language skill is a plus We are looking forward to receiving your full job application through our online application tool. Further interesting job opportunities can be found on our Career site. Is this not quite what you are looking for? Set up a job alert by creating a candidate account here. The international reference in wealth management Julius Baer is the leading Swiss wealth management group. We focus on servicing and advising sophisticated private clients from around the world, taking into account what truly matters to them – in their business and personal life, today and for future generations. Headquartered in Zurich, we are present in around 60 locations worldwide, including Dubai, Dublin, Frankfurt, Geneva, Hong Kong, London, Lugano, Luxembourg, Madrid, Mexico City, Monaco, Mumbai, Santiago de Chile, São Paulo, Shanghai, Singapore, and Tel Aviv. Why join Julius Baer? At Julius Baer our employees enjoy the benefits of a global company with the support and collegiality of a much smaller one. We are growing quickly, but we remain dedicated to maintaining our accessible structure with flat hierarchies, and approachable and supportive leaders. With offices around the world, we offer an international and stimulating work environment and the opportunity to work with a diverse team of highly motivated colleagues, bringing the best of the bank to our clients. Our core values of Care, Passion, and Excellence define the tone of how we interact with each other and our partners. Committed to your success Whether nurturing young talent with our renowned apprentice scheme, enabling ambitious university graduates to put theory into practice with our Graduate Programme, or providing first-class opportunities for experienced professionals, we look after our employees. We believe in continuous learning as a company and as individuals, which is why we put a focus on the health and well-being of our employees and offer flexible working options, a wide array of benefits, and extensive career development programmes. For more information visit www.juliusbaer.com or contact us via the Contact Form. For recruiting agents, please see the additional information here.Über das Unternehmen:CH10 - BJB Bank Julius Baer & Co. Ltd.
Freelancer - Financial Services Risk Management
KPMG, Zürich, Switzerland
We are looking for a motivated, committed person who is willing to support us on providing high quality advisory services around model lifecycle management, in particular in quantitative model development and validation, working in a dynamic team environment. Location: Zurich Start date: by agreement Workload: 60-100%Freelancer - Financial Services Risk Management Your contribution to KPMG Support and lead projects, from a quantitative and qualitative perspective, including analyzing / challenging / improving processes as well as consideration of relevant regulatory requirements (Basel, FINMA, etc.) and market practice, in a number of the following areas: i. Credit Risk, ii. Market Risk, iii. Liquidity Risk and Treasury, iv. Operational Risk, v. Capital Build strong trusting relationships with our clients and internally This is what makes you successful Master or PhD in (i) a quantitative discipline (e.g., Mathematics, Physics), (ii) Banking and Finance or (iii) Economics or any other business-related field 4-10 years of professional experience, particularly in banking (preferred) or in a consulting firm focusing on (quantitative) risk management topics Strong analytical skills, coupled with an open and curious mind, problem solving ability and a solution focused attitude Excellent knowledge of the Microsoft Office software suite Strong written and verbal communication skills, the ability to build long lasting relationships and team orientated Project and people management skills Experience in model development and/or model validation is a plus for Credit Risk and Market Risk Coding experience in Python or R is a plus for Credit Risk and Market Risk Business-fluent in English (essential) with German or French language skills also beneficial KPMG as an employer We are a young team consisting of risk specialists who work with numerous financial services clients to provide a suite of risk management and banking transformation services. Our clients include internationally and regionally active banks, private banks, wealth managers and investment banks. All of these institutions have to deal with a wide array of financial and non-financial risks, and compliance with multiple regulations. Our services include auditing or advising clients to help them identify, measure, manage and monitor their risks and meet regulatory requirements and expectations. KPMG is known for providing clear and consistent solutions in the areas of auditing and advisory services. The broad palette of services across many subject matters and industries allows the provision of multidisciplinary services from a single source for our clients on the one hand and diverse careers and development options for our employees on the other hand. Our dealings are fair and frank and we strive to always look at the results of our work through the eyes of our clients. At KPMG, we are aware that if we add value for our clients, we also do the same for ourselves. Do you have any questions? Pascal Scacchi Experienced Hire Recruiter +41 58 249 29 85
Strategic Partnerships Manager
Fides Treasury Services AG, Zürich, Switzerland
Fides Treasury Services AG, is an international leader in multibank connectivity, payments and transaction communication. Our mission is to connect thousands of businesses worldwide with over 13,000 banks and payment providers and provide them with effective cash and liquidity management solutions. If you are interested in a career with a company with a strong global presence and a focus on innovation and customer satisfaction, then Fides is the right place for you. We are looking for committed employees who would like to strengthen our team and help realize our vision.Strategic Partnerships Manager Role Overview: As the Strategic Partnerships Manager, you will play a pivotal role in expanding our network of partners, driving new business opportunities, and cultivating strong relationships with existing partners. This position requires a strategic thinker with excellent communication skills and a proven track record in building and managing successful partnerships preferably within the software- or financial industry. Responsibilities: Identify and proactively reach out to potential partners Build relationships with key stakeholders and decision-makers Negotiate and close partnership agreements Build and maintain strong relationships with existing partners Conduct thorough market research to identify trends, opportunities, and competitive landscapes within the industry Develop and execute joint marketing and sales campaigns with partners to drive revenue growth. Act as a brand ambassador, representing the company at industry events, conferences, and networking opportunities. Deliver effective product demonstrations to potential partners, showcasing the features and benefits of our solutions Expected travel up to 30% Qualifications: 5+ years of experience in strategic partnerships or business development roles in the financial, fintech or software industry University degree Experience in managing and nurturing long-term relationships with partners Self-starter with an entrepreneurial attitude Excellent product demonstration skills, with the ability to effectively articulate the value proposition of our solutions Excellent communication, negotiation, and interpersonal skills Prior experience in treasury, software sales, cash management or payments desirable Your future colleagues Are you looking for a new challenge in a dynamic, exciting and international corporate environment? Then we have the perfect opportunity for you! We are looking for motivated and talented employees who want to develop personally and professionally. As part of our team, you will have the opportunity to fully utilize your skills and work in a collegial environment with a motivated team. We offer attractive employment conditions with the option to work from home and focus on diversity and inclusion (D&I). This is an exciting opportunity to join Fides as we expand into the Americas and play a key role in our global sales efforts. If you have a passion for sales and a drive to succeed, we’d love to hear from you!Fides Treasury Services AGHerr Marco Gehring
Senior Manager Treasury
Zanders GmbH, Zürich, Switzerland
Senior Manager Treasury C hart a course for advancement in your corporate treasury career at Zanders. We are actively seeking accomplished professionals to contribute their expertise and drive excellence in the evolving landscape of finance. Join us in shaping the future at Zanders! Zanders is an award-winning, international consultancy firm focused on Treasury, Risk and Technology. We employ over 350 treasury & risk professionals who work from our 10 offices on 4 different continents. We service a broad portfolio of leading multinational corporations, financial institutions, public sector entities and NGO’s. Our clients choose Zanders because of our deep domain knowledge and thought leadership, combined with an efficient consulting approach. We are now looking for a seasoned treasury professional to join our team in Switzerland. You will primarily help to drive business development as well as advise clients and manage projects. You will contribute to the development and recognition of Zanders in the DACH region, together with colleagues in our newly opened offices in Cologne and Frankfurt. Your Role Identify new business/project opportunities both locally and internationally Promote the Zanders brand with related activities such as attending conferences Advising clients surrounding their treasury and corporate finance requirements. This could include optimization of current treasury processes, defining a long term treasury roadmap, analyzing the strategy, structure, debt advisory, financial risk management and operations of a client’s treasury practices or selection and implementation of treasury technology solutions or financial services providers Taking a leading role in project management, and coaching of junior team members Pro-actively researching market/product developments. Actively seeking-out trends and developments in treasury. Participating and hosting internal and external knowledge delegation sessions, such as internal trainings and guest lectures Skills to be successful Minimum 7 years of relevant experience in Corporate Treasury or Treasury Consulting An existing network of contacts in Switzerland and the wider DACH region Knowledge in Corporate Treasury, Corporate Finance, Financial Risk Management Treasury Management Systems, In-House Banking, Payment Factories, Bank Connectivity Preference for experience of treasury management systems, for example SAP, FIS IT2, FIS Quantum, ION or Bellin and other related tools such as payment solutions Relevant professional qualifications including a Bachelors or Masters degree and CFA Willingness to travel Self-reliant, flexible, critical, proactive, innovative and a team player Fluent in English and either German and/or French Legally authorized to work in Switzerland We offer in return Zanders encourages its employees to share their ideas and to remain at the forefront of innovative services and solutions. We offer the possibility to specialize and develop professionally, taking on personal responsibility for client relationships and projects. Our culture is transparent and thrives on the open exchange of ideas and knowledge between colleagues. We employ over 350 consultants and offer an ambitious, international and fun working environment. We find a healthy work-life balance very important and offer the flexibility needed to combine a career as a consultant with a busy personal life. We have ambitious growth targets for the coming years and are looking for people that want to help us realize these targets. Whether you want to develop new markets, products, clients or expertise areas, there is ample room for your initiatives and ambitions. In addition, we offer the following: A competitive renumeration package including Pension contribution A role with a lot of entrepreneurial spirit, responsibility, autonomy and the opportunity to develop in treasury, risk and finance The opportunity to establish yourself as a subject matter expert in your chosen field A fun and enterprising team and organization that encourages, motivates and focuses on its people Taking into account the nature of Zanders enterprise, you are expected to behave to a high moral standard. A Pre-Employment Screening (PES) by a third party is part of the application process.
Sales Business Development Manager
Fides Treasury Services AG, Zürich, Switzerland
Fides Treasury Services AG is an international leader in multibank connectivity, payments and transaction communication. Our mission is to connect thousands of businesses worldwide with over 13,000 banks and payment providers and provide them with effective cash and liquidity management solutions. If you are interested in a career with a company with a strong global presence and a focus on innovation and customer satisfaction, then Fides is the right place for you. We are looking for committed employees who would like to strengthen our team and help realize our vision.Sales Business Development Manager Role Overview In this exciting role, you will be one of the central pillars for the acquisition of new customers and therefore responsible for the expansion of our global customer base. You have an outstanding hunter mentality, strong communication skills, the ability to persuade and a proven track record in building a good quality pipeline with respective successful closing skills. Responsibilities Generate new business leads through various sales activities, including cold calling, email campaigns, and networking. Conduct high-level conversations with executives and decision-makers in treasury, finance and AP departments to understand their business needs and present Fides’ industry leading bank connectivity solution Deliver effective product demonstrations to potential customers, showcasing the features and benefits of our solutions Manage multiple concurrent sales opportunities, prioritizing and organizing efforts to maximize success Collaborate with cross-functional teams, including project and marketing, to drive new product adoption and customer retention at Fides Accurately forecast and track sales pipeline and revenue Achieve or exceed monthly, quarterly, and annual sales targets Requirements 5+ years of experience in sales or business development roles in the financial, fintech or software industry University degree Self-starter with an entrepreneurial attitude and a strong sales hunter mentality Excellent product demonstration skills, with the ability to effectively articulate the value proposition of our solutions Excellent communication, negotiation, and interpersonal skills Ability to think creatively and develop new sales strategies to achieve business goals Prior experience in treasury, software sales, cash management or payments desirable Fluency in German and English, any other language is a big plus Very good user knowledge of MS Office (Excel, Word, PowerPoint, Outlook) and previous knowledge of various ERP and CRM systems is an advantage. Your future colleagues Are you looking for a new challenge in a dynamic, exciting and international corporate environment? Then we have the perfect opportunity for you! We are looking for motivated and talented employees who want to develop personally and professionally. As part of our team, you will have the opportunity to fully utilize your skills and work in a collegial environment with a motivated team. We offer attractive employment conditions with the option to work from home and focus on diversity and inclusion (D&I). This is an exciting opportunity to join Fides as we expand into the Americas and play a key role in our global sales efforts. If you have a passion for sales and a drive to succeed, we’d love to hear from you! Fides Treasury Services AGHerr Marco Gehring
SAP S/4HANA Finance Consultant (f/m/x)
IBM, Zurich
IntroductionIn this role, you’ll work in one of our IBM Consulting Client Innovation Centers (Delivery Centers), where we deliver deep technical and industry expertise to a wide range of public and private sector clients the around world.​ Our delivery centers offer our clients locally based skills and technical expertise to drive innovation and adoption of new technology.A career in IBM Consulting embraces long-term relationships and close collaboration with clients across the globe.You’ll work with visionaries across multiple industries to improve the hybrid and AI journey for the most innovative and valuable companies in the world. Your ability to accelerate impact and make meaningful change for your clients is enabled by our strategic partner ecosystem and our robust technology platforms across the IBM portfolio; including IBM Software and Red Hat.Curiosity and a constant quest for knowledge serve as the foundation to success in IBM Consulting. In your role, you’ll be encouraged to challenge the norm, investigate ideas outside of your role, and come up with creative solutions resulting in ground breaking impact for a wide network of clients. Our culture of evolution and empathy centers on long-term career growth and development opportunities in an environment that embraces your unique skills and experience.Your Role and ResponsibilitiesAs a SAP S/4 HANA Finance Consultant at IBM CIC, get ready to tackle numerous mission-critical company directives. Our team takes on the challenge of designing, developing and re-engineering highly complex application components and integrating software packages using various tools. You will use a mix of consultative skills, business knowledge, and technical expertise to effectively integrate packaged technology into our clients' business environment and achieve business results.We count on you to bring your expertise and and your excellent knowledge of S/4HANA Finance solutions and new innovations including Fiori Apps. You will assist in leading the SAP S/4HANA adoption discussions with the customer and demonstrating the business benefits of S/4HANA. Being the right candidate you also have experience in S/4HANA implementations or migration and deployment of these solutions. You should be aware of the S/4HANA Finance roadmap differences between releases and new innovations.What we offer:Individual career pathAccess to countless trainings andA knowledge sharing cultureAn environment where you are actively contributing your ideasThe possibility to work in projects in one of the largest IT companiesRequired Technical and Professional ExpertiseExperience in Finance and Controlling with end-to-end implementations from project preparation to go-live and transition to supportExperience with implementation or migration experience with SAP S/4HANAExpert knowledge in following areas: Integrated Planning, Treasury (Advanced Payment Management, In-House Cash), Asset AccountingFluent in English and GermanSwiss / EU nationality or valid Swiss work permitPreferred Technical and Professional Expertise-Über das Unternehmen:IBMBranche:Other Computer Related ServicesWebsite:careers.ibm.com
Head of Accounting & Controlling (m/w/d)
ROCKEN, Zürich, Switzerland
ROCKEN ist ein Schweizer Unternehmen mit dem Sitz in Zürich. Wir haben eine webbasierte Online- Plattform zur Jobsuche und Talentgewinnung entwickelt, die den Bewerbungsprozess digitalisiert und die Unternehmung dabei unterstützt, Talente am Markt rasch zu erkennen und langfristig für sich zu gewinnen. Mit einem digitalen ROCKEN Profil kann sich jeder Bewerber schnell und unkompliziert mit marktführenden Firmen verbinden und das Profil teilen. Unsere Arbeit stellt technologisch und organisch die Menschen im Mittelpunkt. ROCKEN bietet Executive- Search und Talent Management Beratung an, um die persönlichen und individuellen Ansprüche jedes Einzelnen abzuholen und diese in der Personalbeschaffung und Karriereplanung optimal umzusetzen.Head of Accounting & Controlling (m/w/d) Unser ROCKEN Partner wurde 1993 von drei Gründungspartnern ins Leben gerufen. Heute ist das Unternehmen einer der grössten Finanzdienstleister der Schweiz. An mehreren Standorten in der Schweiz sowie in Liechtenstein stehen rund 120 Mitarbeitende. Unser ROCKEN Partner bietet ein attraktives, unternehmerisches Kompensations-Modell sowie Stabilität im internationalen Markt.Deine Verantwortung Selbständige Führung der gruppenweite Betriebs- und Finanzbuchhaltung Verantwortung für die Erstellung von Jahresabschlüssen nach OR und Swiss GAAP FER Fachliche und disziplinarische Führung von Mitarbeitenden Verantwortlich für die Konsolidierung der Gruppe Verantwortlich für die Erstellung der MwSt. Abrechnungen Führen des Planungsprozesses (Kurzfristige Planung: Forecast, Budget) Verwaltung des internen Kontrollsystems Organisation und Anpassungen des Finanzbereiches an die betrieblichen Bedürfnisse Unterstützung in der Liquiditätsplanung/Treasury Leitung und Mitarbeit in Finanzprojekten Deine Skills Abgeschlossene kaufmännische Grundausbildung Weiterbildung zum eidg. Fachausweis im Finanz- und Rechnungswesen oder vergleichbare Qualifikationen Berufserfahrung im Bereich Finanz- und Rechnungswesen im Finanzbereich Abschlusssicher nach OR & Swiss GAAP FER Berufserfahrung in der Konsolidierung Analytische und konzeptionelle Fähigkeiten Vernetzte Denk- und exakte Arbeitsweise Stilsichere Deutsch- sowie sehr gute Englischkenntnisse Benefits Flexible Arbeitszeitgestaltung Beteiligung an gesundheitlichen Massnahmen Beteiligung am Geschäftserfolg und Prämien Attraktive Mitarbeiterrabatte Interessante und abwechslungsreiche Tätigkeiten/Projekte Internationales Umfeld ROCKEN Jobs: https://rocken.jobs Arbeitsort Zürich Kontakt Bini Konxheli,+41 44 385 21 71
Mitarbeiter/-in Treasury
Emil Frey AG, Zürich, Switzerland
Mitarbeiter/-in Treasury Die Emil Frey Gruppe - ein Familienunternehmen - ist eine der führenden Firmen der Automobilbranche und steht für Qualität, Tradition, Innovation und Kundenorientierung. In einem grossen Garagennetz, bei Importeuren von Weltmarken, in Logistik- und Dienstleistungsbetrieben, sowie Finanzgesellschaften wird die Mobilität unserer Kunden sichergestellt. Die zentrale Finanz-/Treasuryabteilung erbringt vielseitige Dienstleistungen für die Gesellschaften der Emil Frey Gruppe. Unter anderem bewirtschaftet sie die Liquidität, disponiert Devisen und wickelt Bankgeschäfte sowie Finanzierungstransaktionen ab. Zur Verstärkung und Unterstützung unseres Teams suchen wir eine/-n Mitarbeiter/-in Treasury Ihre Aufgaben: Unterstützung beim Rollout eines neuen, gruppenweiten Treasury Management Systems (TMS) Zukünftiger Unterhalt und Pflege des neuen, gruppenweiten TMS Ansprechpartner für fachliche und systemtechnische Anwenderfragen des TMS Bindeglied zum TMS Softwareprovider und weiteren Drittsystemanbietern Weiterentwicklung und Harmonisierung abteilungsspezifischer Applikationen, Schnittstellen zu Drittsystemen und damit zusammenhängender Prozesse Unterstützung bei der Erstellung und Harmonisierung von Reports und Entscheidungsgrundlagen IT Ansprechpartner für die Abteilung Finanzen/Treasury Ihr Profil: Kaufmännische Ausbildung und Erfahrung in vergleichbarer Funktion inkl. TMS Erfahrung, vorzugsweise im Treasury eines international tätigen Handelsunternehmens Sehr gute Deutsch- und Englischkenntnisse in Wort und Schrift, Französische Sprachkenntnisse sind ein Plus Hohe IT Affinität Eigeninitiative, Belastbarkeit, ein Flair für Zahlen sowie Verantwortungsbewusstsein und Verschwiegenheit Unser Angebot: Sie finden bei uns eine neue Herausforderung mit spannenden Aufgaben und vielem mehr: Zahlreiche Vergünstigungen (Neu- und Gebrauchtwagen, Servicearbeiten und Ersatzteile, Fahrzeug- und Krankenversicherungen, Tankkarten, Hotels und vieles mehr) Eine eigene, attraktive Pensionskasse als unabhängige Vorsorgeeinrichtung Eine langfristige Unternehmensperspektive Individuelle Weiterbildungs- und Entwicklungs-Möglichkeiten Mindestens 25 Tage Ferien Wir freuen uns auf Ihre vollständige Bewerbung (Motivationsschreiben, Lebenslauf, Arbeitszeugnisse und Diplome) als PDF via der Erfassungsmaske. Aus Gründen der besseren Lesbarkeit wird auf die gleichzeitige Verwendung der Sprachformen männlich, weiblich und divers (m/w/d) verzichtet. Weibliche und anderweitige Geschlechteridentitäten werden dabei ausdrücklich mitgemeint. Diversität bedeutet für uns auch, dass Menschen in Teams zusammenarbeiten, die durch ihre Einzigartigkeit und Unterschiedlichkeit die bestmöglichen Ergebnisse erzielen. Wir sind davon überzeugt, dass eine vielfältige Belegschaft, sowie eine integrative Kultur es uns ermöglichen, unser volles Potenzial auszuschöpfen. Emil Frey AG, Personalabteilung Badenerstrasse 600, 8048 Zürich
Assistent/-in Treasury/Versicherungen
Emil Frey AG, Zürich, Switzerland
Assistent/-in Treasury/Versicherungen Die Emil Frey Gruppe - ein Familienunternehmen - ist eine der führenden Firmen der Automobilbranche und steht für Qualität, Tradition, Innovation und Kundenorientierung. In einem grossen Garagennetz, bei Importeuren von Weltmarken, in Logistik- und Dienstleistungsbetrieben, sowie Finanzgesellschaften wird die Mobilität unserer Kunden sichergestellt. Die zentrale Finanz-/Versicherungsabteilung erbringt vielseitige Dienstleistungen für die Gesellschaften der Emil Frey Gruppe. Unter anderem bewirtschaftet sie die Liquidität und betreut die Betriebsversicherungen. Für eine spannende Koordinationsstelle mit vielseitigen Aufgaben suchen wir eine/-n Assistent/-in Treasury/Versicherungen Ihre Aufgaben: Unterstützung des Abteilungsleiters (Mitglied der Geschäftsleitung) in einem dynamischen Arbeitsumfeld Bereitschaft, die Fachverantwortlichen in den Bereichen Treasury und Versicherungen zu unterstützen, inklusive Mitarbeit im Tagesgeschäft Organisation und Vorbereitung von Terminen Allgemeine administrative Arbeiten Ihr Profil: Kaufmännische/betriebswirtschaftliche Ausbildung im Banken- und/oder Versicherungsumfeld sowie Erfahrung in vergleichbarer Funktion Gute Auffassungsgabe, selbständige, exakte und zielorientierte Arbeitsweise Lösungsorientierte, unternehmerische und vernetze Denkweise Verantwortungsbewusst, zuverlässig, belastbar und diskret Ausgeprägte Kommunikationsfähigkeiten in Deutsch in Wort und Schrift und gute Englischkenntnisse Unser Angebot: Sie finden bei uns eine neue Herausforderung mit spannenden Aufgaben und vielem mehr: Zahlreiche Vergünstigungen (Neu- und Gebrauchtwagen, Servicearbeiten und Ersatzteile, Fahrzeug- und Krankenversicherungen, Tankkarten, Hotels und vieles mehr) Eine eigene, attraktive Pensionskasse als unabhängige Vorsorgeeinrichtung Eine langfristige Unternehmensperspektive Individuelle Weiterbildungs- und Entwicklungs-Möglichkeiten Mindestens 25 Tage Ferien Wir freuen uns auf Ihre vollständige Bewerbung (Motivationsschreiben, Lebenslauf, Arbeitszeugnisse und Diplome) als PDF via der Erfassungsmaske. Aus Gründen der besseren Lesbarkeit wird auf die gleichzeitige Verwendung der Sprachformen männlich, weiblich und divers (m/w/d) verzichtet. Weibliche und anderweitige Geschlechteridentitäten werden dabei ausdrücklich mitgemeint. Diversität bedeutet für uns auch, dass Menschen in Teams zusammenarbeiten, die durch ihre Einzigartigkeit und Unterschiedlichkeit die bestmöglichen Ergebnisse erzielen. Wir sind davon überzeugt, dass eine vielfältige Belegschaft, sowie eine integrative Kultur es uns ermöglichen, unser volles Potenzial auszuschöpfen. Emil Frey AG, Personalabteilung Badenerstrasse 600, 8048 Zürich