At JACOBS DOUWE EGBERTS we are inspired by our belief that it’s amazing what can happen over a cup of coffee. We are driven by the vision that everyone deserves the coffee they love.
What’s it like to work at JACOBS DOUWE EGBERTS?
We are proud of our passionate, driven associates that challenge the status quo and pursue mastery in everything they do. Our goal is simple and ambitious – JACOBS DOUWE EGBERTS: A coffee for every cup
Working with us means you’ll be making an impact in a fast-paced, collaborative environment. We work as a team, celebrating success and supporting one another. Our associates work with a diverse group of like-minded people, in an innovative environment committed to doing the right thing – all across the world. What you do here will get noticed.
Within JDE the Corporate Treasury Department is responsible for all financing, cash & financial risk management and insurance related matters of the company and its operating entities worldwide. JDE is a €5 billion plus global business containing some of the world’s leading brands in Coffee & Tea – Douwe Egberts, Moccona, Jacobs, L’OR, and Senseo to name a few and with products being sold in over 80 countries.
In your role as Treasury Operations Manager you will be accountable for managing day-to-day liquidity and investments of the group, maintaining and enhancing JDE’s global cash management infrastructure, and financial exposure modelling. Additionally, you will prepare relevant recommendations in these area’s and ensure overall compliance with treasury policies.
You will act as the company’s expert in the above referenced areas. As such, you will represent JDE to numerous banks and service providers both domestic and abroad, and represent Treasury internally to senior management, operating units and other corporate departments.
To be successful in this role, you will need a Master’s degree in finance/economics/accounting and professional qualifications such as ACT, RT, combined with 5+ years of experience in international finance, preferably in Treasury. You operate with considerable autonomy, maintaining a highly professional service orientation and possess strong communications capabilities and sound analytical skills.
You have a hands-on mentality and a result oriented approach and feel comfortable working in a highly dynamic and demanding environment. You have solid working experience with Excel and other financial applications, as well as familiarity with Electronic Banking & Trading Platforms and Treasury Management Systems (IT/2 in particular).
To apply, please send your CV to Toni Peric (Global Talent Acquisition Specialist) via firstname.lastname@example.org.