Controller (f/m/d)

Ebner Group

Österreich

Remote

EUR 45.000 - 55.000

Vollzeit

Vor 13 Tagen
Bewerbungsgenerator

Mach aus dieser Rolle ein Vorstellungsgespräch — ein Lebenslauf und ein Anschreiben, die darauf ausgerichtet sind, was dieser Arbeitgeber sucht.

Schaffe es an den ATS-Filtern vorbei

Benefits dieser Stelle

Flexible hours
Four-day week
Home office
Gym access
Canteen
Onboarding
Professional development
Parking
EV charging
Public transport connections
Childcare

Zusammenfassung

Ebner Group, a leading plant engineering and construction group, is expanding its Corporate Treasury team in Leonding or Ranshofen. You will manage cash, liquidity and hedging, oversee trade finance instruments, and support ongoing process improvements across international operations.

The role welcomes career starters with banking experience and values strong Excel skills, German and English fluency, and a structured, independent work style.

Qualifikationen

  • German and English language proficiency.
  • Strong Excel skills and digital affinity.
  • Structured and independent approach to work.

Aufgaben

  • Cash and liquidity management across international group companies.
  • Handle trade finance instruments such as guarantees and letters of credit.
  • Structure financing arrangements and manage banking relationships.
  • Assess foreign exchange and interest rate risks; implement hedging measures.
  • Prepare and monitor treasury and risk reports for management decisions.
  • Support digitalization and automation of treasury processes.

Kenntnisse

German
English
Digital affinity
Structured work style
Independent

Ausbildung

Business/Finance degree

Tools

Excel

Jobbeschreibung

As an internationally successful group of companies specializing in plant engineering and construction, our Corporate Treasury team manages the financial flows of companies across several continents. To strengthen our team at our Leonding or Ranshofen location, we are looking for a committed and motivated professional to join us at the earliest possible date. In this central role, you will contribute to a broad range of treasury activities and play an active part in continuously developing and improving our processes.

RESPONSIBILITIES
  • Responsibility for cash and liquidity management across several international group companies, serving as a key contact for treasury-related matters and projects.
  • Handling and administration of trade finance instruments such as guarantees, letters of credit and OeKB products.
  • Structuring financing arrangements, managing financial investments and actively managing banking relationships.
  • Assessing foreign exchange and interest rate risks and implementing and monitoring appropriate hedging measures.
  • Preparing, monitoring and continuously developing treasury and risk reports to support management decision-making.
  • Contributing to the digitalization and automation of treasury processes and systems, as well as supporting day-to-day operational treasury activities.
PROFILE
  • Completed commercial education or a degree in business administration, finance or a related field
  • Professional experience in treasury, corporate banking or finance is an advantage
  • Career starters with banking experience are also very welcome
  • Knowledge of trade finance (guarantees, letters of credit, documentary collections) is an advantage
  • Strong digital affinity and excellent Excel skills
  • Structured, independent and solution-oriented approach to work
  • Very good command of German and English
BENEFITS
  • Flexible working hours, a four-day workweek and home office options
  • Fitness facilities and activities (gym, sports courses, squash court and massage)
  • Company canteen
  • Comprehensive onboarding and tailored professional development
  • Training and further education opportunities
  • Free parking, EV charging stations, company bicycles and good public transport connections
  • Childcare during the summer holidays

We offer an attractive and market-competitive salary based on your qualifications and professional experience. The minimum gross annual salary under the applicable collective agreement (Information and Consulting), based on full-time employment, is €50,393.28.

Hol dir deinen kostenlosen, vertraulichen Lebenslauf-Check.
oder ziehe deine Datei hierhin.
Similar jobs

Ähnliche Jobs, die dir auch gefallen könnten

Corporate Treasury Manager (w/m/d)
Corporate Treasury Manager (w/m/d)

JobsinAustria • Oberösterreich

Vor Ort
EUR 45.000 - 55.000
Gleitarbeitszeit
4-Tage-Woche
Home-Office
+9
Teamleitung Treasury Middle- & Backoffice (m/w/d)
Teamleitung Treasury Middle- & Backoffice (m/w/d)

Seher + Partner OG • Linz

Hybrid
Zuschuss zu Essen
Kinderbetreuung
Zusatzpension
Treasury Analyst (w/m/d)
Treasury Analyst (w/m/d)

Benteler Automotive Corporation • Salzburg

Vor Ort
EUR 45.000 - 52.000
6 Wochen Urlaub
Flexible Arbeitszeiten
Home-Office-Tage
+5
Treasury & Cash Management Expert (m/w/d)
Treasury & Cash Management Expert (m/w/d)

JobsinAustria • Wien, Wiener Neudorf

Hybrid
EUR 72.000 - 88.000
Homeoffice möglich
Kostenloser Shuttle
Gratis-Parkplätze
+4
Global Treasury Controller: Cash, FX & Digitalization
Global Treasury Controller: Cash, FX & Digitalization

Ebner Group • Österreich

Remote
EUR 45.000 - 55.000
Flexible hours
Four-day week
Home office
+8
Treasury Analyst (w/m/d)
Treasury Analyst (w/m/d)

BENTELER Group • Salzburg

Vor Ort
EUR 45.000 - 55.000
6 Wochen Urlaub
Home-Office-Tage
Kostenloses Mittagessen
+4
Finance, Treasury and Insurance Manager (m/w/d)
Finance, Treasury and Insurance Manager (m/w/d)

Kontron Europe • Wien

Hybrid
EUR 38.000 - 46.000
Home-Office
Flexible Arbeitszeiten
Flache Hierarchien
Group Treasury Specialist - Markets (w/m/d)
Group Treasury Specialist - Markets (w/m/d)

Porsche Holding • Salzburg

Vor Ort
EUR 41.000 - 50.000
Individuelle Karrieremöglichkeiten
Home-Office Modelle
Flexible Arbeitszeiten
+5
Finance, Treasury and Insurance Manager (m/w/d)
Finance, Treasury and Insurance Manager (m/w/d)

Kontron AG • Österreich

Hybrid
EUR 38.000 - 46.000
Ausgewogene Work-Life-Balance
Flexible Arbeitszeit inkl. Home-Office
Flache Hierarchien
Spezialist:in Treasury Markets (m/w/d)
Spezialist:in Treasury Markets (m/w/d)

Erste Group Bank AG • Graz

Hybrid
EUR 50.000 - 61.000
Variable Vergütung
Sozialleistungen
Weiterbildungsmöglichkeiten