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Corporate Treasury and Financial Technician

Viscofan

Pamplona

Presencial

EUR 40.000 - 60.000

Jornada completa

Hoy
Sé de los primeros/as/es en solicitar esta vacante

Descripción de la vacante

A global leader in casings production is seeking a Corporate Treasury and Financial Technician to manage banking relationships, lead loan negotiations, and provide financial support. Candidates should possess a degree in Business Administration or Economics, along with 3+ years in corporate treasury. Offering a collaborative work culture and competitive salary with benefits.

Servicios

Competitive salary
Benefits package
Career development opportunities

Formación

  • 3+ years of experience in corporate treasury, financial planning, or banking.
  • Strong command of English is essential.
  • Solid understanding of cash flow planning and liquidity management.

Responsabilidades

  • Lead bank loan negotiations and ensure optimal financing conditions.
  • Supervise local banking relationships.
  • Provide financial support to the Group and subsidiaries.

Conocimientos

Corporate treasury experience
Financial planning knowledge
Banking expertise
Negotiation skills
Communication skills
Proactiveness
Ability to collaborate

Educación

University degree in Business Administration or Economics

Herramientas

SAP
BPC
Power BI
Excel
Descripción del empleo
About us

Viscofan is the world leader in the production and distribution of casings, offering a unique value proposition to the meat industry. With a presence in over 110 countries, serving more than 1,700 customers, generating revenue exceeding €1.2 billion, and employing over 5,000 people across 23 countries, the Viscofan Group is not only a market leader, but also a pioneer in biotechnological innovation, delivering cutting-edge solutions in both food and medical applications.

We are looking for a Corporate Treasury and Financial Technician to join our Corporate Finance team.

What will your main responsibilities be?
  • Lead bank loan negotiations (Group and subsidiaries), ensuring optimal financing conditions.
  • Supervise local banking relationships, promoting alignment with Group strategy.
  • Oversee and manage credit insurance policies and related risk mitigation tools.
  • Provide financial support to the Group and subsidiaries, including intercompany lending.
  • Manage the consolidation of Free Cash Flow forecasts and support Group-level budgeting.
  • Ensure accuracy and completeness of banking documentation and financial contracts.
  • Assist subsidiaries in resolving treasury and financial issues effectively.
  • Actively contribute to corporate projects related to treasury transformation and digitalization.
What do you need to succeed in this role?
  • 3+ years of experience in corporate treasury, financial planning, or banking.
  • University degree in Business Administration, Economics, or a related field.
  • Strong command of English is essential.
  • Advanced skills in SAP, BPC, Power BI, and Excel.
  • Solid understanding of cash flow planning, liquidity management, and financial instruments.
  • Excellent negotiation and communication skills.
  • Proactive, structured, and results-oriented mindset.
  • Ability to collaborate in cross-functional and international environments.
  • Familiarity with risk management practices and financial compliance is a plus.
Why join Viscofan?
  • Be part of a global leader with continuous growth and innovation.
  • Join a collaborative and international work culture.
  • Opportunity to impact Group-level financial decision-making.
  • Career development and exposure to strategic projects.
  • Competitive salary and benefits package.

At Viscofan, we are committed to diversity and inclusion. We welcome all qualified candidates and create an environment where everyone can thrive.

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