• Advanced Treasury Analyst

    Posted Date 3 weeks ago(29/5/2018 5:23 PM)
    Requisition ID
  • Overview:

    About the company


    In the past one hundred years, Celanese has transformed into a global technology and specialty materials company with leading businesses in key geographic regions. With a focus on safety, innovation, productivity, performance and results, our company is positioned to achieve significant future growth and deliver exceptional results for all stakeholders.


    While we call Dallas, Texas home for our headquarters, we have approximately 7,500 employees working to serve our customers around the world. From Dallas to Amsterdam to Shanghai, we manage a global network of commercial offices, technical centers, and twenty-seven production facilities and additional strategic affiliate production facilities.


    For more information, visit https://www.celanese.com/


    We’re engineers, scientists, operators and product developers. We’re innovators, advisers, designers and problem solvers. Most importantly, we’re partners – in creating value for our customers with the solutions we offer and in improving the world through the actions of our colleagues.


    Celanese is The Chemistry Inside Innovation™ and we aspire to be the first-choice chemistry solution source for our customers.


    We know what you’re thinking – that’s a lot to promise and that’s a lot to do. Well, we would agree with you, but we’re up for the challenge and we owe it to our customers, shareholders, and employees to deliver on our promise.

    Currently we are looking for candidates for the following position:


    Advanced Treasury Analyst


    As an Advanced Treasury Analyst you will be working in a communicative, international environment at Celanese. In this position you will be responsible for managing the cash activities in the European region. You will prepare cash forecasts, and execute company financing. You will also deploy your talents in executing payments on a daily basis, and maintaining bank accounts.


    Ideally educated to BSc or MSc level in Finance, you will have around 3 years of professional experience in Treasury or other closely related field. You will need demonstrable ability of accuracy, making fast quality decisions, and stress tolerance. Taking ownership is a key in this role.

    You’ll also bring:

    • Fluent English skills
    • Any additional European language is an advantage


    • Experience in SAP is an advantage


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