Group Treasury and Risk Director to Camurus in Lund

Group Treasury and Risk Director to Camurus in Lund

Arbetsbeskrivning

Camurus is a Swedish research-based pharmaceutical company committed to developing and commercializing innovative and long-acting medicines for the treatment of severe and chronic conditions, including opioid dependence, pain, cancer and endocrine disorders. New drug products are based on our proprietary FluidCrystal ® drug delivery technologies with the purpose to deliver improved quality of life, treatment outcomes and resource utilization. The company’s share is listed on Nasdaq Stockholm under the ticker “CAMX”.

At Camurus you will get the opportunity to work with committed colleagues in a team with good atmosphere, where the employees support and care for each other. Camurus is an innovative company that is currently expanding and establishing in new markets. For more information, visit camurus.com.

Camurus is now recruiting a Group Treasury and Risk Director to its head office in Lund. In this role you will have the responsibility to lead and enhance all day-to-day treasury operations for the organization as well as having the responsibility to develop short- and long-term strategies and prioritize and execute multiple treasury, cash and insurance management initiatives. You will be a key member of the finance leadership team and partner directly with the Chief Financial Officer and interact with many departments globally across the company.

Responsibilities and key tasks:

- Develop, implement and communicate cash management policies and procedures. Identify strategic needs based on a company-wide liquidity assessment. Evaluate and pursue best practices for funding needs and capital management
- Lead corporate cash-flow analysis and forecasting in anticipation of the company's daily cash needs and future flows to improve effectiveness of the funding process
- Manage and develop company insurances to cover company operations risks with the insurance brokers
- Execute the investment strategy consistent within the approved parameters and regulatory guidelines. Provide guidance on acceptable investment instruments and financial institutions
- Enhance controls and efficiencies of treasury/cash management, and recommend new banking/cash management products
- Assist in the development of strategic plans and tactical objectives for all debt and derivative back office activities, including bank delegations, transaction confirmations, and transaction settlements, while maintaining appropriate segregation of duties and linkage to accounting function
- Oversee debt and preferred investment covenants in accordance with banking agreements
- Evaluate treasury structure, processes, etc. on an ongoing basis to ensure the efficient and effective key deliverables
- Manage hedging program for foreign exchange, commodities and interest rates
- Take a lead role in researching and recommending efficiencies and continuous improvements within the Treasury and Credit and Collection processes.


Professional experience and qualifications
You should have a university degree in finance and at least 3-5 years of experience in a similar role in an international multi-currency environment, preferably in a listed company or a private equity owned company. Knowledge of IFRS accounting principles is required and you must be fluent in spoken and written Swedish and English.

The working environment at Camurus is positive, international and dynamic and requires you to be a resilient and motivated person with great communication and collaboration skills. You are a person that is decisive in your actions and has a great ability to generate ideas, develop alternatives, rapidly decide upon best course of action and drive implementation of that decision. Structure and attention to details is natural for you as well as the ability to prioritize, lead projects and make your deadlines. Through your experience you have also acquired great business acumen and commercial awareness.

Application and contact information
For further information about this position and the recruitment process, please contact Magnus Mellborg, Recruitment Consultant at SJR Executive Search at 0766-471618 or Malin Hjort at 070-8203479.

As selections and interviews are made on an ongoing basis, please send your application in English as soon as possible. Last day for application is April 20th. The corporate language is English, and we are unable to review applications made in other languages.

SJR use psychological and skills-based tests as part of the selection process to ensure an open-minded and fair recruitment process.

Keep in mind that your application should not contain sensitive personal information, such as information about health, religious or philosophical beliefs, political opinions or trade union affiliation.

In the event that the position applied for entails financial responsibility a credit report and background check will be carried out regarding the final candidate.

For information regarding data protection and GDPR visit Integritetspolicy (https://sjr.se/integritetspolicy/)


Titel: Group Treasury and Risk Director

Kontaktpersoner på detta företaget

Tomas Vinnersten

Magnus Mellborg

Karin Fors
031-333 54 75
Liza Dahlin
0766-471620
Liina Fagerberg
031-750 33 91
Caroline Karlsson
031-333 54 71
Charlotte Jerleke

Magnus Mellborg
+46 766 47 16 18
Rebecca Dellborg
+46 70 471 59 02
Amanda Karlsson
031-333 54 88

Sammanfattning

  • Arbetsplats: SJR
  • 1 plats
  • Tills vidare
  • Heltid
  • Fast månads- vecko- eller timlön
  • Publicerat: 1 april 2022
  • Ansök senast: 18 september 2022

Besöksadress

Kullagatan 8, Helsingborg
None

Postadress

Kullagatan 8
Helsingborg, 25220

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