Dein persönlicher KI-Karriere-Agent
Treasury Manager(m/w/x)
Managing cash and liquidity for an interactive audio platform for children, including strategic placement and forecasting. Hands-on FX/IR hedging or cash/liquidity management experience required. Deutschlandticket, leasing bicycle, remote work subsidy.
Anforderungen
- Professional experience in Treasury, Corporate Banking, or related financial field
- Hands-on experience in FX/IR hedging and/or cash/liquidity management
- Desirable experience with ERP systems (Business Central or SAP) and dedicated bank software; TMS experience a plus
- Outstanding analytical skills and affinity for numbers
- Exceptional communication and interpersonal skills
- Full proficiency in German and English
- Willingness to work 2-3 days/week from Düsseldorf office
Aufgaben
- Manage daily cash and liquidity disbursement across the group.
- Strategically place excess cash with banking partners.
- Update and ensure accuracy of 12-week cash flow forecasts.
- Review and challenge local finance data inputs.
- Analyze and mitigate interest rate and currency risks.
- Place FX and interest rate hedging instruments per policy.
- Serve as primary contact for banks and external partners.
- Manage bank accounts.
- Handle bank inquiries.
- Support KYC matters.
- Act as go-to person for internal Treasury matters.
- Serve as backup to the Group Treasurer.
- Support and drive strategic treasury transformation projects.
- Explore new treasury technologies.
- Optimize group-wide treasury operations and systems.
Berufserfahrung
- 2 - 5 Jahre
Ausbildung
- Bachelor-AbschlussODER
- Master-Abschluss
Sprachen
- Deutsch – verhandlungssicher
- Englisch – verhandlungssicher
Tools & Technologien
- Business Central
- SAP
- TMS
Benefits
Öffi Tickets
- Deutschlandticket
Parkplatz & Pendelvorteile
- Office parking space contribution
Firmenfahrrad
- Leasing bicycle
Sonstige Zulagen
- Remote work subsidy
Betriebliche Altersvorsorge
- Company pension plan subsidies
- Occupational pension schemes
Sonstige Vorteile
- Occupational disability insurance
Mehr Urlaubstage
- 30 days paid annual leave
- Three additional paid days off
Workation & Sabbatical
- Toniecation days (unpaid leave)
Weiterbildungsangebote
- Internal training opportunities
- External training opportunities
- Individual learning budget
- Babbel language learning app
Mentale Gesundheitsförderung
- Calm meditation app access
Mitarbeiterrabatte
- Discounts on tonies products
Noch nicht perfekt?
- toniesVollzeitmit HomeofficeSeniorDüsseldorf
- Deutsche WertpapierService Bank AG
Treasury Spezialist – Cash Management & FX(m/w/x)
Vollzeitmit HomeofficeBerufserfahrenDüsseldorf - Deloitte
(Senior) Manager SAP Treasury(m/w/x)
Vollzeitmit HomeofficeManagementDüsseldorf, Berlin, Frankfurt am Main, Hamburg, München, Stuttgart - Fressnapf Tiernahrungs GmbH
Expert Corporate Treasury(m/w/x)
Vollzeitmit HomeofficeSeniorKrefeld - Deloitte GmbH Wirtschaftsprüfungsgesellschaft
(Senior) Manager Treasury Accounting(m/w/x)
Vollzeitmit HomeofficeSeniorBerlin, Düsseldorf, Frankfurt am Main, Hamburg, München, Stuttgart
Treasury Manager(m/w/x)
Managing cash and liquidity for an interactive audio platform for children, including strategic placement and forecasting. Hands-on FX/IR hedging or cash/liquidity management experience required. Deutschlandticket, leasing bicycle, remote work subsidy.
Anforderungen
- Professional experience in Treasury, Corporate Banking, or related financial field
- Hands-on experience in FX/IR hedging and/or cash/liquidity management
- Desirable experience with ERP systems (Business Central or SAP) and dedicated bank software; TMS experience a plus
- Outstanding analytical skills and affinity for numbers
- Exceptional communication and interpersonal skills
- Full proficiency in German and English
- Willingness to work 2-3 days/week from Düsseldorf office
Aufgaben
- Manage daily cash and liquidity disbursement across the group.
- Strategically place excess cash with banking partners.
- Update and ensure accuracy of 12-week cash flow forecasts.
- Review and challenge local finance data inputs.
- Analyze and mitigate interest rate and currency risks.
- Place FX and interest rate hedging instruments per policy.
- Serve as primary contact for banks and external partners.
- Manage bank accounts.
- Handle bank inquiries.
- Support KYC matters.
- Act as go-to person for internal Treasury matters.
- Serve as backup to the Group Treasurer.
- Support and drive strategic treasury transformation projects.
- Explore new treasury technologies.
- Optimize group-wide treasury operations and systems.
Berufserfahrung
- 2 - 5 Jahre
Ausbildung
- Bachelor-AbschlussODER
- Master-Abschluss
Sprachen
- Deutsch – verhandlungssicher
- Englisch – verhandlungssicher
Tools & Technologien
- Business Central
- SAP
- TMS
Benefits
Öffi Tickets
- Deutschlandticket
Parkplatz & Pendelvorteile
- Office parking space contribution
Firmenfahrrad
- Leasing bicycle
Sonstige Zulagen
- Remote work subsidy
Betriebliche Altersvorsorge
- Company pension plan subsidies
- Occupational pension schemes
Sonstige Vorteile
- Occupational disability insurance
Mehr Urlaubstage
- 30 days paid annual leave
- Three additional paid days off
Workation & Sabbatical
- Toniecation days (unpaid leave)
Weiterbildungsangebote
- Internal training opportunities
- External training opportunities
- Individual learning budget
- Babbel language learning app
Mentale Gesundheitsförderung
- Calm meditation app access
Mitarbeiterrabatte
- Discounts on tonies products
Über das Unternehmen
tonies
Branche
Media
Beschreibung
The company is the world’s largest interactive audio platform for children, offering innovative audio entertainment and education.
Noch nicht perfekt?
- tonies
Vice President Global Accounting / CAO(m/w/x)
Vollzeitmit HomeofficeSeniorDüsseldorf - Deutsche WertpapierService Bank AG
Treasury Spezialist – Cash Management & FX(m/w/x)
Vollzeitmit HomeofficeBerufserfahrenDüsseldorf - Deloitte
(Senior) Manager SAP Treasury(m/w/x)
Vollzeitmit HomeofficeManagementDüsseldorf, Berlin, Frankfurt am Main, Hamburg, München, Stuttgart - Fressnapf Tiernahrungs GmbH
Expert Corporate Treasury(m/w/x)
Vollzeitmit HomeofficeSeniorKrefeld - Deloitte GmbH Wirtschaftsprüfungsgesellschaft
(Senior) Manager Treasury Accounting(m/w/x)
Vollzeitmit HomeofficeSeniorBerlin, Düsseldorf, Frankfurt am Main, Hamburg, München, Stuttgart