Overview Solventum is a new healthcare company with a long legacy of solving big challenges that improve lives and help healthcare professionals perform at their best.
We pursue innovations guided by empathy, clinical intelligence, and collaboration with leading healthcare professionals.
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Solventum is committed to equal employment opportunity for all qualified applicants.
Job Title Corporate Treasury Manager – EMEAThe Impact You'll Make in this Role You will have the opportunity to tap into your curiosity and collaborate with innovative and diverse people around the world.
You will make an impact by: Helping to drive efficiencies in cash management using Solventum's in-house bank central pooling of excess cash and intercompany borrowing for cash needs.
Operating across multiple workstreams, collaborating on cash forecasting and positioning, analysis of various FX risks, transacting on FX, investments, and other financial market instruments.
Leading initiatives within your EMEA responsibilities to support various aspects of the treasury operating model, including banking services and other products.
Assisting in special projects (M&A, legal entity restructuring) and supporting transition services activities such as bank guarantees and surety bonds.
Leveraging knowledge of treasury technology and systems (such as SAP, Kyriba, SWIFT, Power BI) to identify automation opportunities and improve current workflows.
Your Skills And Expertise To set you up for success in this role from day one, Solventum requires (at a minimum) the following qualifications: Bachelor's degree or higher (completed and verified prior to start) from an accredited institution in a Finance-related discipline.
In addition to the above requirements, the following are also required: A minimum of 5 years of combined Treasury experience working within a corporate or banking treasury environment.
Additional qualifications or skills that could help you succeed include: Advanced education or certification such as MBA, CTP, CFA, or ACT a plus.
Experience with Cash Management, FX hedging, and prior experience using a treasury management system (e.g., Kyriba, SAP) is desirable.
Excellent working knowledge of Microsoft Office (Excel, Power Point, Power BI).
Strong organizational and prioritization mindset with exceptional attention to detail.
Excellent written and verbal communication skills with experience collaborating across multiple cross-functional and international teams.
Ability to navigate ambiguity, multitask, and work on complex problems with a focus on moving discussions forward to achieve results within deadlines.
A can-do attitude and willingness to get into the weeds to drive projects forward.
Work location Hybrid eligible (some remote work is possible, with travel to Dublin office 2–3 days per week).
Authorization Must be legally authorized to work in the country of employment without sponsorship for employment visa status.
Related Information Supporting Your Well-being and Diversity & Inclusion statements are included in our broader hiring materials.
We are an equal opportunity employer and value diversity.
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