Treasury Officer
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København K
This is a rare opportunity for a driven and ambitious professional to join one of the premier corporate treasury teams in the Nordics, covering all regions of the world. Here you will be part of managing cash optimization and banking infrastructure for a truly global company in a fast-paced and rewarding environment.
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Maersk is a truly global company with business in around 130 countries and around 40bn USD in annual turnover. Cash is the lifeblood of our business and ensuring that liquidity flows freely around the company, across borders and between legal entities is critical for our success as a business and a central responsibility of the treasury team. This is thus a chance to make a highly strategic impact on company performance.
As Treasury Officer you will be part of Cash Management Strategy which is a team within Global Cash Management (GCM), responsible for the banking infrastructure, strategic developments and Bank relationships within Cash Management.
GCM is a closely-knit team of 12 finance professionals who share responsibility for the company’s exposure to financial market risk, managing our liquidity globally and our transaction banking infrastructure. As a member of our team, you will be exposed to a wide range of areas within treasury and should expect breadth of development and a steep learning curve. The treasury team has interactions throughout the company and you will be expected to extend your network to a wide range of stakeholders at all levels of seniority, both in the finance community and in the wider business.
The wider Treasury & Risk team (T&R) is a diverse team of approximately 50 professionals. In addition to Global Cash Management, T&R consists of the Funding, Reporting and Control and Insurance & Risk Management teams. We are based in the Maersk head office at Esplanaden, Copenhagen.
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Your responsibilities in Cash Management Strategy team will be centered on general Cash Management related daily tasks as well as managing various projects. More specifically you will:
• Work closely with the rest of Cash Management Strategy team as well as wider GCM team on day-to-day issues as well as more complex or long-term projects.
• Issue tenders/RfPs, oversee and manage re-banking implementation projects
• Participate in Group-wide projects to cover Cash Management aspects of infrastructure, integration and strategy.
• Actively work to optimize current structures, systems and processes. This can be automating manual processes, enhancing IHB processes, identifying opportunities for improvement in systems, structures etc
• Work closely with internal teams, e.g. in the shared service center, to initiate and drive projects for; optimization of cash, visibility, centralization and transaction efficiency
• Support the business globally for internal Cash Management needs and requirements
• Work closely with banks to ensure best possible service for our business units globally
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You are an ambitious finance or business major, preferably with experience in a Treasury department of a large corporate or Cash Management in an international bank, who combines analytical skills with an outgoing personality and strong project management skills.
You are a self-starter who works with a high level of autonomy and can drive complex projects and move tasks forward while also being a team-player, working in the best interest of the company. Ideally, you have experience in driving implementation projects.
You are thorough, accountable with a knack for project management, a good eye for process improvement and a talent for understanding underlying transaction processes end-to-end. You are not daunted by working with a wide range of demanding stakeholders and tasks and in an organizational setting, you are service-minded towards stakeholders, while at the same time persistent in driving the treasury agenda.
You are a strong communicator in English, even of difficult matters and to audiences at different levels.
As a performance-oriented company, we strive to always recruit the best person for the job – regardless of gender, age, nationality, sexual orientation or religious beliefs.
We are proud of our diversity and see it as a genuine source of strength for building high-performing teams.
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We offer
Maersk is a truly global company with business in around 130 countries and around 40bn USD in annual turnover. Cash is the lifeblood of our business and ensuring that liquidity flows freely around the company, across borders and between legal entities is critical for our success as a business and a central responsibility of the treasury team. This is thus a chance to make a highly strategic impact on company performance.
As Treasury Officer you will be part of Cash Management Strategy which is a team within Global Cash Management (GCM), responsible for the banking infrastructure, strategic developments and Bank relationships within Cash Management.
GCM is a closely-knit team of 12 finance professionals who share responsibility for the company’s exposure to financial market risk, managing our liquidity globally and our transaction banking infrastructure. As a member of our team, you will be exposed to a wide range of areas within treasury and should expect breadth of development and a steep learning curve. The treasury team has interactions throughout the company and you will be expected to extend your network to a wide range of stakeholders at all levels of seniority, both in the finance community and in the wider business.
The wider Treasury & Risk team (T&R) is a diverse team of approximately 50 professionals. In addition to Global Cash Management, T&R consists of the Funding, Reporting and Control and Insurance & Risk Management teams. We are based in the Maersk head office at Esplanaden, Copenhagen.
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Key responsibilities
Your responsibilities in Cash Management Strategy team will be centered on general Cash Management related daily tasks as well as managing various projects. More specifically you will:
• Work closely with the rest of Cash Management Strategy team as well as wider GCM team on day-to-day issues as well as more complex or long-term projects.
• Issue tenders/RfPs, oversee and manage re-banking implementation projects
• Participate in Group-wide projects to cover Cash Management aspects of infrastructure, integration and strategy.
• Actively work to optimize current structures, systems and processes. This can be automating manual processes, enhancing IHB processes, identifying opportunities for improvement in systems, structures etc
• Work closely with internal teams, e.g. in the shared service center, to initiate and drive projects for; optimization of cash, visibility, centralization and transaction efficiency
• Support the business globally for internal Cash Management needs and requirements
• Work closely with banks to ensure best possible service for our business units globally
Show More
We are looking for
You are an ambitious finance or business major, preferably with experience in a Treasury department of a large corporate or Cash Management in an international bank, who combines analytical skills with an outgoing personality and strong project management skills.
You are a self-starter who works with a high level of autonomy and can drive complex projects and move tasks forward while also being a team-player, working in the best interest of the company. Ideally, you have experience in driving implementation projects.
You are thorough, accountable with a knack for project management, a good eye for process improvement and a talent for understanding underlying transaction processes end-to-end. You are not daunted by working with a wide range of demanding stakeholders and tasks and in an organizational setting, you are service-minded towards stakeholders, while at the same time persistent in driving the treasury agenda.
You are a strong communicator in English, even of difficult matters and to audiences at different levels.
As a performance-oriented company, we strive to always recruit the best person for the job – regardless of gender, age, nationality, sexual orientation or religious beliefs.
We are proud of our diversity and see it as a genuine source of strength for building high-performing teams.
Show More
Information og data
Denne ledige stilling har jobtypen "Øvrige", og befinder sig i kategorien "Øvrige stillinger".
Arbejdsstedet er beliggende i København K.
Jobbet er oprettet på vores service den 20.8.2021, men kan have været deaktiveret og genaktiveret igen.
Dagligt opdateret: Dette job opdateres dagligt ud fra jobudbyderens hjemmeside via vores søgemaskineteknologi og er aktivt lige nu.
- Øvrige
- København K
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