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Treasury Manager : in

Trenkwalder Germany

Weiterstadt

Vor Ort

EUR 70.000 - 100.000

Vollzeit

Vor 3 Tagen
Sei unter den ersten Bewerbenden

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Zusammenfassung

A global chemical company is seeking a Treasury Manager to join its international Corporate Treasury team. The role involves managing cash flows, funding strategies, and ensuring compliance with financial regulations. Candidates should possess a relevant finance degree and extensive experience in treasury functions, with excellent skills in stakeholder management and communication.

Leistungen

Attractive remuneration package
Company-subsidized pension scheme
Flexible working arrangements
30 days vacation per year
Employee counseling and company sports
Meal allowance

Qualifikationen

  • Minimum 7 years of professional experience in finance roles.
  • At least 3 years in Treasury functions.
  • Strong understanding of Treasury operations within an international organization.

Aufgaben

  • Daily cash actions and liquidity optimization.
  • Intercompany funding management and trade finance support.
  • Bank regulatory compliance and operational risk management.

Kenntnisse

Stakeholder management
Interpersonal skills
Communication skills
Presentation skills

Ausbildung

University degree in finance and accounting

Tools

S4HANA
TIS & Corima Systems

Jobbeschreibung

Our client is a leading chemical company and manufacturer of high quality acrylic- and polycarbonate films and sheets. With its innovative strength and technological expertise, our client creates holistic solutions for a global customer base from various industries, including construction, transportation, aviation, electrical engineering and automotive, etc. With around 1,500 employees at 16 production sites worldwide, our client offers a wide range of tasks and development opportunities.

As a Treasury Manager (m / f / d ), you are an important part of our international Corporate Treasury team and contribute to the efficient management and strategic control of our financial resources.

Your Tasks : Front Office :

  • Daily cash actions : Cash and liquidity optimization and daily cash forecasting
  • Intercompany Funding : Approve and transfer cash funds between company bank accounts to maintain sufficient levels of cash flows across the business.
  • Review and implement intercompany funding requirements.
  • Trade finance support : Facilitate and handle trade finance requests from the business, working closely with banking partners to issue letters of credit and confirm payments
  • Cash investments : Investment of excess business cash, with support from banking partners
  • Operational FX trading, to ensure sufficient balance in required currencies.

Bank regulatory compliance :

  • Ensuring that all documents and processes are updated in order to comply with current laws and regulations, including Know Your Customer (KYC) documentation.
  • Cash collection : Facilitation / provision of bank accounts and a cash management infrastructure for the business
  • Liquidity management : Reviewing and managing the company’s ability to make payments through cash flow modelling, funding support and cash pooling strategies
  • Short term cash forecasting : Treasury models the estimated cash in and out flows for the POLYVANTIS group on a short-term basis, where it forecasts up to 3 months
  • Operational risk management : Ensuring that the execution of risk management policies and processes are in place, to mitigate operational risk including risk of loss resulting from inadequate or failed internal processes and systems.

Process Excellence :

  • Maintenance of treasury systems and electronic banking tools
  • Support Head of Treasury on projects to improve current workflows

Payments :

  • Review, approval and processing of payments (including Intercompany payments)
  • In-house bank management Administration : Set up, management and maintenance of bank accounts as well bank relationships across the jurisdiction the business operates within

Administration :

  • Bank statement processing and GL account clearance
  • Processing of front office transactions : Processing of financing, investments and FX contracts, guarantees
  • Accounting of treasury transactions
  • Market data and master data maintenance

Your Qualifications :

  • University degree in finance and accounting or equivalent undergraduate Treasury degree.
  • Minimum 7 years of professional experience in finance roles, including a minimum of 3 years in Treasury functions
  • Knowledge of Treasury operations & cash management within an international organization.
  • Knowledgeable with policies, procedures and best practices in the area of Treasury
  • Good Technical knowledge and understanding of S4HANA
  • General Understanding of TIS & Corima Systems (added advantage)
  • Strong stakeholder management, people management and interpersonal skills
  • Good communication and presentation skills
  • Excellent command of the English language

What we offer :

  • A direct and permanent position in a globally operating chemical company
  • Responsible task in an international environment
  • Attractive remuneration package (AT position) + bonus (13,5%)
  • Company-subsidized pension scheme and long-term account, group accident insurance, support for care of dependents, sick pay allowance
  • Flexible working, possibility of mobile working (up to 50%), 30 days vacation per year
  • Prevention programs, social and employee counseling, company sports & discounts at various gyms, meal allowance
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