alcon
alcon1d ago
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Treasury Manager Internal and External funding

SwitzerlandSwitzerland·Genèveentry
Finance & AccountingTreasury Manager
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Requirements Summary

Association of Corporate Treasurers (ACT) qualifications, CFA or other relevant finance certifications Why Join Alcon? Join a dynamic and diverse Treasury team with broad international experience.

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Finance & AccountingTreasury Manager

As the global leader in eye care, Alcon develops and manufactures innovative products that enhance quality of life by helping people see better. Our purpose-driven culture encourages innovation, collaboration, and continuous learning while providing opportunities for professional growth across a truly global organization.

We are currently seeking a Treasury Manager to join our Global Treasury team as part of the Funding (External & Internal Funding) team in Geneva.

This role offers a unique opportunity to contribute to funding and capital markets transactions, capital structure optimization, intercompany financing, and strategic treasury initiatives within a global NYSE/SIX-listed company, while working closely with senior Treasury and Finance leadership, including the Group Treasurer and CFO.

This role is ideally suited for early-career finance professionals seeking to transition into a high-visibility corporate finance and treasury role with significant international exposure and long-term growth opportunities.

As a Treasury Manager within the External & Internal Funding team, you will:

  • Support treasury and corporate finance activities through financial analysis, reporting, and financial modelling.
  • Assist in the structuring, execution, and monitoring of intercompany loans, guarantees, and other treasury-related transactions.
  • Support intercompany funding strategies, dividend repatriation initiatives, and cash repatriation activities across the Group.
  • Monitor affiliate capital structures and support funding recommendations to optimize financing, liquidity, and balance sheet efficiency as well as to mitigate any country risks and financial risks.
  • Prepare presentations and decision materials for Finance leadership, the CFO, Finance Committee, Executive Committee, and Board of Directors.
  • Support the analysis and execution of Group financing opportunities, including loans, credit facilities, debt issuances, and other debt-like instruments.
  • Contribute to funding, capital structure, liquidity management, and refinancing projects across the Group.
  • Support analyses related to credit ratings, banking services, and financial counterparties, including materials for interactions with rating agencies, lenders, and core banking partners.
  • Maintain and enhance treasury models, dashboards, and reporting tools.
  • Monitor financial markets, interest rates, foreign exchange markets, credit markets, and macroeconomic developments.
  • Collaborate closely with Treasury, Tax, Accounting, FP&A, Investor Relations, Legal, external auditors, banks, and local finance teams globally.
  • Support treasury-related analyses involving tax, accounting, and audit considerations impacting financing and funding structures.
  • Drive treasury process improvements, automation initiatives, and system enhancements.
  • Prepare recurring Treasury deliverables, including WACC analyses, dividend proposals and payment processes, credit metrics, financing reviews, and materials for management and governance committees.
  • Support the maintenance and integrity of the Treasury Management System and related reporting platforms.

  • Master's degree in Finance, Accounting, Economics, Business Administration, or a related field.

  • 2-3 years of relevant experience in Investment Banking, Corporate Treasury, Treasury Advisory, Consulting, Transaction services, Audit, Consulting, Corporate Finance, or a related field.
  • Exposure to financial markets, funding, treasury, or capital markets activities is a strong asset.
  • Experience working in a multinational or international environment is a plus.
  • Strong analytical, quantitative, and problem-solving capabilities.
  • Advanced Excel and PowerPoint skills.
  • Financial modelling, valuation methodologies, credit metrics and capital structure analysis experience is a strong asset.
  • Experience with Treasury Management Systems, Bloomberg, SAP, Power BI, or similar financial platforms is a plus.
  • Ability to translate complex financial information into clear recommendations and management presentations.
  • Strong attention to detail and ability to work with large and complex datasets.
  • Strong interest in finance, financial markets, and macroeconomic developments.
  • Exposure to corporate finance, treasury, capital markets, funding strategies, credit ratings, and debt financing is a plus.
  • Accounting knowledge and understanding of financial statements are strong assets.

  • Dynamic, hands-on, and proactive mindset.
  • Strong sense of ownership and accountability.
  • Quick learner with a genuine interest in building a long-term career within Treasury and Corporate Finance.
  • Ability to manage multiple priorities in a fast-paced environment.
  • Strong communication and interpersonal skills.
  • Collaborative team player with an international mindset.
  • High attention to detail and sound professional judgement.
  • Eagerness to continuously learn and expand treasury expertise.

  • Fluency in English required.
  • French or any additional language is a plus.

We are looking for candidates who are committed to continuous development and interested in pursuing recognized treasury and finance qualifications, including typically: Association of Corporate Treasurers (ACT) qualifications, CFA or other relevant finance certifications

What We Offer

~1 min read
Join a dynamic and diverse Treasury team with broad international experience.
Work on high-impact funding, refinancing, capital structure, and treasury transformation initiatives.
Partner with leading global banks, advisors, rating agencies, and financial institutions.
Gain visibility into senior decision-making processes and strategic financial initiatives within a global publicly listed company.
Develop expertise across corporate finance, capital markets, funding, liquidity, risk management, and financial strategy.
Collaborate across a global organization spanning more than 90 countries and partner with Finance teams including Tax, Accounting, Investor Relations, FP&A, and Legal.
Benefit from continuous learning and professional development opportunities, including treasury and finance certifications.
Explore long-term career opportunities across Treasury, Corporate Finance, and the broader Finance organization.
Contribute to strategic finance initiatives that support the world's leading eye care company.

Location & Eligibility

Where is the job
Genève, Switzerland
On-site at the office
Who can apply
CH

Listing Details

Posted
August 19, 2026
First seen
August 19, 2026
Last seen
August 19, 2026

Posting Health

Days active
0
Repost count
0
Trust Level
51%
Scored at
August 19, 2026

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alconTreasury Manager Internal and External funding