Group Treasurer (m/f/d)

EPL Bio Analytical Services

Berlin

Hybrid

EUR 90.000 - 130.000

Vollzeit

vor 6 Stunden
Sei unter den ersten Bewerbenden
Bewerbungsgenerator

Eine zielgenaue Bewerbung für diesen Job — ein maßgeschneiderter Lebenslauf und ein Anschreiben, die genau zur Stellenanzeige passen.

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Benefits dieser Stelle

Corporate benefits package
Modern offices in Berlin with mobile/fl
Team events

Qualifikationen

  • University degree in finance, accounting, or economics.
  • Several years of treasury experience in a multinational group.
  • Strong liquidity planning, cash pooling, and financing track record.
  • Experience handling credit agreements, covenants, and PE-owned environments.
  • Proficiency in bank communication and payment formats.
  • High initiative and hands-on in international day-to-day business.
  • Business-fluent English is mandatory.
  • Affinity for AI applications in finance.

Aufgaben

  • Manage group-wide liquidity across entities, currencies, and regions.
  • Develop rolling liquidity planning and forecast accuracy improvements.
  • Advance group-wide cash pooling structures and intercompany financing.
  • Oversee external financing and treasury reporting to management and lenders.
  • Drive working capital and analyze cash KPIs.
  • Assess FX and interest-rate exposure; derive hedging measures.
  • Lead bank relationship management and KYC governance.
  • Develop treasury policy and AI-enabled ways of working.

Kenntnisse

Treasury experience
Liquidity forecasting
Cash pooling
Group financing
Bank communication
AI in finance
English proficiency
Private equity exposure
Hands-on mindset

Ausbildung

University degree in finance/accounting/economics
CTP/ACT/CFA or similar

Tools

Treasury systems

Jobbeschreibung

Group Treasurer (m/f/d)

Berlin

Full-time

Permanent employee

Our Company

Tentamus Group GmbH is an internationally growing laboratory and testing services provider in the food, feed, pharmaceutical, and cosmetics sectors, headquartered in Berlin.

We are newly filling the position of Group Treasurer (m/f/d), which consolidates group-wide responsibility for liquidity, financing, risk management, and payment transactions – with a clear mandate to elevate the Group's treasury function to the next level of maturity.

Primary Responsibilities
Liquidity and Cash Management
  • Responsibility for group-wide liquidity management across all entities, currencies, and regions
  • Building and owning the rolling liquidity planning, along with continuous improvement of forecast quality, variance analysis, and derivation of steering actions
  • Further development of group-wide cash pooling structures
  • Governance of intercompany financing
Financing and Risk Management
  • Management of external financing
  • Preparation of the treasury reporting for management, shareholders, and lenders
  • Driving working capital management across the Group's entities, including ongoing analysis of cash KPIs
  • Assessment and evaluation of the group-wide FX and interest rate exposure, and derivation of corresponding hedging measures
Banking and Payment operations
  • Responsibility for the Group's banking strategy and ownership of bank relationship management, including governance of KYC processes and bank mandate management
  • Further development of group-wide payment transactions
  • Steering of bank communication and payment format landscape
Organization, Systems, and Projects
  • Functional ownership of the Group's treasury management system as well as bank- and ERP interfaces; management of service providers and implementation partners
  • Regular review and further development of the treasury policy
  • Establishment and advancement of AI-supported ways of working
Required Skills And Qualifications
  • University degree in finance, accounting, economics, or a related field; relevant additional qualifications (e.g., CTP, ACT, CFA) are a plus
  • Several years of professional experience in corporate treasury, with demonstrable experience within a group structure comprising multiple international subsidiaries
  • Solid track record in liquidity planning and forecasting, cash pooling, and group financing
  • Experience handling credit agreements, covenants, and financing partners; understanding of the requirements of a private equity-owned environment
  • Proficiency in bank communication and payment formats, as well as in common treasury management systems
  • High degree of initiative and a hands-on mentality – ready to roll up your sleeves in international day-to-day business rather than managing from a distance
  • Business-fluent English is mandatory
  • Affinity for digital ways of working and practical experience with the productive use of AI applications in finance
We Offer
  • A real mandate. Group-wide responsibility for liquidity, financing, and risk management of an internationally growing group – with room to shape, not just maintain
  • Short paths to decision-making. The Group Treasurer (m/f/d) reports to the Head of Group Controlling & Treasury, with regular, direct engagement with the CFO and financing partners
  • A build-out mandate, not maintenance. A defined project portfolio for advancing the treasury function – spanning systems, policies, and risk management
  • International environment. Collaboration with finance teams across Europe, the Americas, and Asia within a group that builds trust in everyday consumer products
  • Modern offices in Berlin and the option for mobile working
  • Corporate benefits package
  • Team events
Your contact

Tentamus Group GmbH

Human Resources

Phone: +49 15144063058

An der Industriebahn 26

13088 Berlin

About Us

Tentamus Group is a global product and safety firm with a core presence in Europe, UK, Israel, China and the USA. Tentamus tests and consults on products involving the human body with strong focus on food, nutraceuticals and cosmetics. With our Headquarters in Berlin, Tentamus is represented in 100 locations across 23 countries, with just under 4,000 highly trained staff members.

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