Our goals - Your path

  • Closely follow FX and Interest rate developments, generate case-based market analysis and timely propose actions and solutions to stakeholders
  • Provide expertise and support to Group Management and Group Entities in FX
    and interest rate topics 
  • Establish FX Reports for Transaction and Economic Risks.
  • Safeguard agreed FX margins between Group Entities and local banks
  • Monitor the Counterparty Risk associated with our Banking partners

Your expertise - Our strength

  • Pro-active entrepreneur and team player with strong follow-up mentality and understanding to develop, implement strategies to manage group Treasury risks
  • 5y Corporate Treasury experience in FX and Interest rate Risk Trading
  • Bachelor’s degree in Finance or a related field with professional certifications such as Swiss Certified Treasurer, Chartered Financial Analyst (CFA) or similar
  • Systematic approach to problem and solution finding with competence to prioritize tasks
  • Proficiency in using Bloomberg, Reuters, TMS (FIS Integrity) and MS Excel
  • Fluent in German and English (spoken and written) with great communication skills to stakeholders


Going Beyond. Together.

You can be part of a world-leading specialty chemicals company, active in more than 100 countries. Our company history is characterized by constant expansion – both organically, and though mergers and acquisitions.

At Sika, you can make an impact in a healthy and growing business. Our dynamic environment generates countless opportunities for you to shape Sika’s future and your own. We give you the tasks and tools that help you grow professionally.

If you are ready to take on the next challenge in Treasury Management, we would love to hear from you. Stefan Schotte, Senior Talent Acquisition Partner at Sika will answer any questions you may have at  / [email protected]



About Sika

Sika is a dynamic and globally renowned organization committed to excellence and innovation. As a leader in the specialty chemical industry, we take pride in our people-centric approach and the continuous pursuit of excellence.

Sika is growing, and so is our Treasury team.

As the Treasury Risk Manager, you will oversee Sika’s risks related to FX and Interest rate developments, impacting the Group and Group Entities. You will ensure a pro-active monitoring and propose timely mitigation actions and solutions and oversee the counterparty risks associated with our Banking partners.