Syngenta Group

Front Office Treasury Analyst

Syngenta Group

What You'll Do

Manage daily cash positions and liquidity for assigned Brazilian entities, ensuring timely funding and availability of funds. Prepare short- and medium-term cash forecasts and support funding and financing decisions. Execute and monitor significant FX transactions; analyze treasury-process impacts on exposure and support proactive hedging actions.

What We're Looking For

5–7 years of relevant experience in Treasury. Degree in Finance, Accounting, Economics or a related discipline. Solid treasury and cash-management knowledge, including exposure and hedging concepts. Advanced English.

What We Offer

A culture that celebrates diversity and inclusion, promotes professional development, and strives for a work-life balance that supports team members. Offers flexible work options to support your work and personal needs. Full Benefit Package (Medical, Dental & Vision) that starts your first day.

Additional Information

Experience Level

Senior

Employment Type

permanent

Work Mode

Hybrid