You will participate in key corporate refinancing projects. Together with the Head of Treasury,
you will develop and execute company finance strategy and related processes. You will participate
in tendering and negotiation of company financing with Czech and foreign investors, communicate
with them and develop relations.
You will maintain the company credit rating held with international rating agencies and ensure
the regular annual update process. If you are not, you will become an expert at rating methodology.
You will be responsible for management of company currency and interest rate risks. You will maintain
company's existing hedge accounting model and cooperate on the preparation of the IFRS Annual Report.
Summary in 3 statements:
- company funding,
- credit rating management,
- currency and interest rate risks
immediately / by agreement
If you are intereted in our position, please, send us your CV in english.