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Head Of Finance And Risk Banking
Távmunka / Remote
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1-3 év tapasztalat • Angol felsőfok • Francia anyanyelvi szint
Főbb feladatokClient: The bank is a well-established private institution with a small but expanding office in central Geneva. Fully regulated in Switzerland, it has a solid shareholder base and an entrepreneurial culture. For many years, it has provided traditional private banking services and is recognized as a...
Tegnap 15:16 -
Senior Merchant Power Trader 100%
Repower AG, Via da Clalt 12, 7742 Poschiavo
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>10 év tapasztalat • Angol középfok
Főbb feladatok- Generate significant and consistent trading profits from merchant activities across pan-European power markets
- Actively optimize risk-adjusted returns, maximizing return on VaR while strictly adhering to assigned limits (VaR, trailing stop-loss, credit exposure and liquidity constraints)
Január 22. -
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5-10 év tapasztalat • Angol középfok • Német középfok
Főbb feladatok- Take full accountability for accurate financial reporting and tax as well as AO, AP, AR and liquidity management.
- Responsible for finance and controlling and leading quarterly forecasts, annual budget and long-term financial planning.
Január 28. -
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1-3 év tapasztalat • Angol felsőfok
Főbb feladatokAct as Business Responsible and Subject Matter Expert for electronic invoicing within the Service Order-to-Cash and Procure-to-Pay process areas, ensuring compliant and stable operation within SAP S/4HANA and other corresponding applications....
Január 30. -
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5-10 év tapasztalat • Angol középfok
Főbb feladatok- Analyse the pharmaceutical R&D landscape, including development and manufacturing technologies related investment trends within MPP therapeutic in licensing target areas
- Generate market intelligence and scientific/commercial analysis on licensors, targets and disease areas
Január 30. -
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5-10 év tapasztalat • Angol középfok • Német középfok
Főbb feladatokDaily treasury operations & cash management: monitor daily cash positions and liquidity forecasts at Group level; support short-term liquidity planning and cash optimization; coordinate intercompany funding flows (if applicable); ensure execution and reconciliation of treasury transactions (FX,...
Január 20.
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Senior programozó
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Cégvezetés, Menedzsment
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Pénzügyi, Gazdasági igazgató
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Svájc