Own, develop and supervise complex corporate treasury projects such as cash pool development and implementation, payment centralisation, and group-wide FX exposure analysis to support the company's financial objectives and liquidity requirements.
Oversee application of best practices for cash management, including the optimization of cash flows and intercompany funding across multiple entities and currencies.
Develop own areas of responsibility by shaping processes and driving continuous improvement.
Contribute concepts to manage identified risks independently or jointly with Treasury Controlling, Risk Management, and the Balance Sheet Portfolio Manager.
Work with minimum supervision; proactively review data, reports, and in-house Treasury tools such as SAP-TRM, TIP, and TIS to ensure the output sufficiently reflects risks.
Act as a counterpart to external stakeholders, mainly financial institutions, as well as to internal departments regarding Treasury topics.
Support the Group Treasury Team, Group Controlling, and Accounting teams with complex requests and information (e.g., Intercompany interest calculations).
Support the Head of Group Treasury with strategic corporate initiatives as well as ongoing operational business and projects.
What We Expect
This is a fast-paced and very exposed role. It provides a good opportunity for an outspoken individual with at least 5-7 years of work experience in Finance, Corporate Treasury, Accounting, or Banking, preferably in a team lead role in an international working environment with a proven track record for working across multiple teams.
Have a quantitative and analytical mindset, a very accurate working style, and be a committed and flexible personality; be able to cope with a steep learning curve; work independently with limited supervision.
Demonstrate a sound understanding of financial statements and be able to grasp business processes and related financial implications quickly and thoroughly.
Being fluent in English is a prerequisite. Sound knowledge of German is not required but is a distinctive advantage.
Have obtained a Master's Degree in Finance or similar education.
Work experience in SAP, BI reporting, and Treasury applications is very beneficial.
What We Offer
Career opportunity in a global, fast-paced, dynamic, and client-oriented environment.
Opportunity to learn the business from some of the world’s leading private market specialists.
Growth-oriented entrepreneurial culture with significant development opportunities.
International working environment.
Competitive salary with performance-related compensation model.