Our client, a Pharmaceutical company based in Basel is currently looking for a Cash Management and Treasury Operations Specialist with a hands-on approach and good interpersonal skills. You would work closely with the Senior Cash & Liquidity Manager, as well as with the Group Treasury team in order to support in all controlling, treasury and cash matters. Start would be as soon as possible for a temporary period of 3 months.
Fast entry into an international environment
Fluent English and German skills are required
If you want to be part of a global company and contribute to a great team, with high potential for personal development, we look forward to receiving your CV.
Original source: Glassdoor Switzerland