Description
The Treasury Manager will develop and standardize group-wide foreign exchange, liquidity, credit, and treasury processes; analyze currency, energy, and commodity risks; develop and monitor hedging strategies and derivatives; support treasury projects and digitization; prepare management reports; and ensure compliance with internal policies and regulatory requirements. The role requires a degree in business administration, finance, economics, or a comparable program, 2 to 5 years of relevant professional experience, strong knowledge of cash management, liquidity planning, and financial risk management, and very good German and English skills.
