This role supports the execution and control of daily cash management activities within a dynamic international environment
Job Summary
This role supports the execution and control of daily cash management activities within a dynamic international environment.
The successful candidate will manage global bank accounts, monitor cash positions, and perform treasury transactions including netting and in-house banking.
Amgen offers a challenging full-time role with opportunities to contribute to meaningful work and make a global impact.
Matching Summary
This role supports the execution and control of daily cash management activities within a dynamic international environment.
Skills & Requirements
Must-have
Manage global bank accounts and signatories
Perform daily cash management transactions
Support short-term cash forecasting
Maintain SOX and internal control reporting
Fluency in English required
Nice-to-have
Experience with SAP and Quantum systems
Proactive team-oriented approach
Process improvement initiatives
Strong analytical skills and attention to detail
Key Requirements
Bachelor's degree in Finance or Accounting
5+ years of relevant experience
Experience with Treasury Management Systems preferred