Corporate Finance Manager

This search procedure has been closed (05-01-2009).
Field
Finance
Salary
100k - 150k per annum
Location
Noord-Brabant
Employment
Permanent
Headhunter
Anoniem

Position Specification

Corporate Finance Manager (M/F)

Our client is a world leader in the manufacture of advanced technology systems for the semiconductor industry. The company offers an integrated portfolio for manufacturing complex integrated circuits (also called ICs or chips). The company designs, develops, integrates, markets and services advanced systems used by customers – the major global semiconductor manufacturers – to create chips that power a wide array of electronic, communications and information technology products. Founded in the Netherlands in 1984, the company is publicly traded on Euronext Amsterdam and NASDAQ.

Key relationships

Reports to: Vice President Corporate Treasury

Treasury Department

The Corporate Treasury department is responsible for maintaining financial stability throughout the cycle, maximize EPS (earnings per share), manage foreign currency positions, manage interest positions, manage excess cash, minimize risk management costs of world wide insurance portfolio and ensure internal and external compliance. 

The key working areas of the treasury department are corporate finance, cash management and financial risk management, and insurance management. The treasury department needs to anticipate continuously the strong demands and requirements of the organization, its customers and financial markets.

Position in the organization

The Corporate Finance Manager reports to the Vice President Corporate Treasury and has internal interfaces with other Staff departments, including Finance, Accounting, Investor Relations, Legal and Tax, Business Units, Sector Management and local international Finance management. He or she has external interfaces with Commercial and Investment Banks, financial counsels, financial advisors and strategic partners.

Job description

  • Analyze and optimize corporate financial structure with regard to solvency, liquidity and flexibility
  • Analyze and optimize financial requirements for short term and long term on the basis of strategic and financial plans
  • Advise Corporate Treasurer regarding financing policy. Develop and execute financing plans and transactions
  • Maintain contacts with financial institutions in order to monitor money and capital markets regarding pricing and other terms & conditions of financing alternatives
  • Assist Corporate Treasurer in maintaining the relationships with the rating agencies.
  • Manage the leases of the company its properties.
  • Manage outstanding financial contracts (Shares, Stand by Facility, Eurobond, Export Financing, ISDA, etc)
  • Support and advise Business Units on financing issues in business deals like contracts with customers and agents, hedge transactions, leases, setting up new businesses, joint-ventures and strategic investments

Educational level

  • Master degree in Business Administration.
  • Post academic Corporate Finance and Treasury Courses.

Experience

10 years experience in Corporate Treasury and Banking. Extensive knowledge of financial markets. Good knowledge of relevant legal, accounting and taxation aspects.

Personal skills

  • Excellent analytical skills. 
  • The ability to create and present a comprehensive financial solution from several, highly technical, financial building blocks. 
  • Creative anticipating on business activities and their financial consequences.
  • Knowledge of relevant legal, accounting and taxation aspects.
  • Good people management skills.

Interested?

You can apply to this position by using the form below.

This search procedure has been closed (05-01-2009).

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