Description
The Corporate Treasury Manager supports mid-sized companies in the DACH region during restructuring and transformation projects. The role creates and maintains liquidity forecasts, prepares financial data for insolvency and restructuring experts, supports external and internal financing, conducts client workshops, and builds and optimizes the Treasury function. It requires a business administration or comparable qualification, several years of restructuring or Treasury experience, strong Excel and analytical skills, German and English proficiency, and at least one month of on-site presence in Frankfurt.
