Carlsberg Group A/S

Employees · Consumer Products / FMCG

About Carlsberg Group A/S

We offer you a challenging position as Treasury Manager in Group Treasury initially focusing on liquidity management, FX and interest rate hedging.
As part of the Carlsberg Group, you have the opportunity to work in an international, inspirational and dynamic environment with highly qualified colleagues and teams throughout the world.
Group Treasury is globally responsible for funding and managing liquidity & cash, financial risk and working capital throughout the Carlsberg Group. We are a team of 8 highly specialised professionals and we work together with all parts of the Group to actively manage financial risk and to increase the free cash flow.
Your tasks will primarily entail assuming responsibility for the daily liquidity management, intercompany funding, FX and interest rate hedging. You will also be participating in various projects such as optimisation of Treasury processes and IT, working capital and implementation of internal capital structures.
The Treasury Manager will work closely together with the other Treasury colleagues in making sure that Group Treasury always and timely delivers, and meets the highest standards within Treasury Management.
The position offers rich possibilities for personal as well as professional development.
 

Carlsberg Group A/S Business Information

Company Name

Carlsberg Group A/S

Company Type

-

Company Size

Industry

Consumer Products / FMCG

Company SSM No

-

Job Vacancies

0

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