Description
Montaplast is hiring a Group Treasury Manager to manage international cash and liquidity, maintain a rolling 13-week liquidity forecast, oversee bank accounts and short-term financing, and support treasury process standardization, Treasury Management System implementation, and SAP S/4HANA transformation. The role requires a finance or treasury degree, 3–5 years of corporate treasury experience, strong cash and liquidity knowledge, SAP or Treasury Management System project experience, and fluent German and English. The position is based in Morsbach, Germany and includes vacation allowance, an annual performance payment, 30 days of annual leave, company health offerings, and further training opportunities.
