Corporate Treasurer & Risk Manager
Are you experienced in Treasuring & Risk Management, and do you want to have a unique impact on a dynamic organization in growth? Then this might be exactly what you are looking for.
About the job
We are looking for an ambitious and experienced Treasurer & Risk Manager to manage the financial aspects from cash management to corporate finance, and you will have a central role in defining financing structure, enterprise risk management, currency administration, and liquidity planning which is of strategic importance for Orifarm.
As this is a newly established position, an important part of the role is to build up a solid function with a decisive impact on the future growth of the whole organization. Orifarm is in strong growth and this new function will play a key role in the future growth as well.
As our Treasurer & Risk Manager, you will prepare liquidity forecasting based on currency flow and optimal positions in alignment with the policy by implementing new tools and procedures. You will take process lead in updating long-term financial prognosis for the purpose of bank negotiations along with reviewing bank contracts to secure compliance, and you will support M&A activities.
Additionally, your responsibilities include:
- Review of financial risk management policy
- Optimization of cash pool structure
- Trade of currency
- Preparation of compliance letters and potential waivers
- Analyzing the need for, alignment on, and execution of hedge contracts
Who are you?
You should have a degree in finance or similar and have experience in establishing/building a corporate treasury function. It is important that you possess informal leadership skills to enable you to roll out new corporate ways of working. It is expected that you have a clear interest and understanding of the treasury process connected with relevant experience and skills as treasurer.
It is expected that you are result- and performance-oriented, and that you have a flexible mindset. You have a personal drive, are open-minded, and you are able to work independently. Additionally, we expect you to possess excellent stakeholder management skills along with solid negotiation skills.
As we are an international organization, it is expected that you have outstanding interpersonal and communication skills, and are fluent in both English and Danish.
Orifarm is the largest parallel importer of pharmaceuticals in Europe and the largest supplier of pharmaceuticals in Denmark. Orifarm was founded in 1994 by Birgitte and Hans Bøgh-Sørensen and, through our main business areas, we provide large savings for both patients and society. The explorer spirit still characterizes the company, as we are constantly looking for new opportunities and business areas to invest in. In 2021, Orifarm faces its greatest milestone with a major acquisition, which will contribute to our further growth and the achievement of our visions.
In Orifarm we place great emphasis on both your professional and personal development and on giving you the opportunity to bring all of your skills into play.
Our headquarter is located in Odense however, you have the opportunity to work from our newly established office in Søborg. We value an informal and friendly atmosphere and regardless of location, you will work with other dedicated colleagues.
If you need further information about the job, please contact VP Accounting & Compliance Kasper S. Kristensen at +45 24 24 99 49.
We receive applications in both English and Danish.
Application deadline:As soon as possible