Treasurer
Treasurer
Job Description
Become part of the team powering household names like Andrex®, Kleenex®, Cottonelle®, Scott®, Viva®, and WypAll®.
At Arbex, everything you need is right here—innovation, growth, and the chance to leave a real mark.
Settling for just any role isn't you, and it isn't us either.
Being Unstoppable Together calls for a particular kind of person and teams who genuinely care about making a difference.
Here, you'll channel your professional expertise, talent, and drive into building and managing a portfolio of iconic, ground-breaking brands.
In this role, you'll help shape the future of tissue and hygiene for billions of people worldwide.
About You
In one of our professional roles, you’ll focus on winning with consumers and the market, while putting safety, mutual respect, and human dignity at the centre.
You will partner closely with senior stakeholders across the JV and Suzano’s Treasury leadership in Brazil, ensuring strong liquidity management, effective currency risk mitigation, and a healthy balance sheet.
Key responsibilities:
🔹 Liquidity & Cash Management
* Lead the Joint Venture’s In-House Bank (IHB) and oversee multi-currency cash pooling
* Manage daily liquidity, cash positioning, and short-term forecasting
* Optimize internal funding and minimize idle cash
🔹 Banking & Treasury Operations
* Build and maintain strong relationships with global banking partners
* Oversee bank account structure and administration
* Negotiate competitive terms and ensure cost-effective banking solutions
🔹 FX Risk & Balance Sheet Management
* Identify and manage foreign exchange exposures
* Design and execute hedging strategies in partnership with Suzano
* Monitor key metrics (cash, debt, working capital) to maintain financial health
🔹 Working Capital Optimization
* Partner with Procurement and Supply Chain on initiatives such as:
+ Supply chain finance programs
+ Dynamic discounting
+ Receivables financing
* Drive improvements in cash conversion cycles
🔹 Cross-Functional Collaboration & Governance
* Act as a key liaison across Treasury, Finance, Tax, and Legal teams
* Ensure compliance with corporate policies and regulatory requirements
* Support strategic initiatives including cash repatriation and capital structure planning
To succeed in this role, you will need the following qualifications:
* 10+ years in Treasury / Corporate Finance within multinational environments
* MBA or certifications (CFA, CPA, CTP) are a plus
* MBA or certifications (CFA, CPA, CTP) are a plus
* Proven experience in liquidity management, FX risk, and banking structures
* Background in global organisations or joint ventures strongly preferred
* Strong knowledge of treasury systems (Quantum preferred) and ERP (SAP)
* Advanced Excel and financial modelling skills
* Ability to infl...
- Rate: Not Specified
- Location: Tadworth, GB-SRY
- Type: Permanent
- Industry: Management
- Recruiter: Kimberly-Clark Corporation
- Contact: Not Specified
- Email: to view click here
- Reference: 882848
- Posted: 2026-09-23 11:09:49 -
- View all Jobs from Kimberly-Clark Corporation
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