Dein persönlicher KI-Karriere-Agent
Treasury Manager(m/w/x)
Developing group hedging strategy and monitoring FX exposure. 3+ years relevant experience in corporate finance or treasury required. 30 days holiday, capital forming benefits.
Anforderungen
- Degree in Business, Finance, Banking or related field
- Further professional qualification (e.g. CFA)
- 3+ years relevant experience in Corporate Finance, Treasury, Banking
- Fluent English
- Excellent MS Excel & Power Point user skills
- ERP user experience with IFS and SAP
- Experience with 360T and Treasury Management Systems
- Outstanding communication skills
- Outstanding analytical and technical skills
- Change management skills
- Willingness to take responsibility
- High self-motivation and intrinsic drive
Aufgaben
- Review and develop group hedging strategy
- Collaborate with Head of Treasury on hedging processes
- Develop and monitor financial risk identification measures
- Provide guidance on FX exposure and hedging activities
- Evaluate group hedging effectiveness
- Trade FX derivatives via 360T
- Review and develop group investment strategy
- Collaborate with Head of Treasury on investment processes
- Manage group investment portfolio
- Seek ways to improve interest income profitability
- Trade investment instruments
- Develop trading and investment infrastructures
- Support Head of Treasury with financing projects
- Ensure compliance with processes and policies
- Contribute to cash flow forecasting
- Coordinate short-, mid-, and long-term liquidity projections
- Gather inputs from Finance, FP&A, and operational teams
- Assist in treasury-related transactions
- Coordinate intercompany funding, FX settlements, and interest payments
- Manage documentation workflows
- Support customer and vendor credit risk management
Berufserfahrung
- 3 Jahre
Ausbildung
- Bachelor-Abschluss
Sprachen
- Englisch – fließend
- Deutsch – Grundkenntnisse
Tools & Technologien
- MS Excel
- Power Point
- IFS
- SAP
- 360T
- Treasury Management Systems
Benefits
Mehr Urlaubstage
- 30 days of annual holiday
Öffi Tickets
- Monthly allowance for public transportation
Gratis oder Vergünstigte Mahlzeiten
- In-house canteen
Sonstige Zulagen
- Capital forming benefits
Flexibles Arbeiten
- Flexible working hours
Boni & Prämien
- Annual bonus depending on performance
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Treasury Manager(m/w/x)
Developing group hedging strategy and monitoring FX exposure. 3+ years relevant experience in corporate finance or treasury required. 30 days holiday, capital forming benefits.
Anforderungen
- Degree in Business, Finance, Banking or related field
- Further professional qualification (e.g. CFA)
- 3+ years relevant experience in Corporate Finance, Treasury, Banking
- Fluent English
- Excellent MS Excel & Power Point user skills
- ERP user experience with IFS and SAP
- Experience with 360T and Treasury Management Systems
- Outstanding communication skills
- Outstanding analytical and technical skills
- Change management skills
- Willingness to take responsibility
- High self-motivation and intrinsic drive
Aufgaben
- Review and develop group hedging strategy
- Collaborate with Head of Treasury on hedging processes
- Develop and monitor financial risk identification measures
- Provide guidance on FX exposure and hedging activities
- Evaluate group hedging effectiveness
- Trade FX derivatives via 360T
- Review and develop group investment strategy
- Collaborate with Head of Treasury on investment processes
- Manage group investment portfolio
- Seek ways to improve interest income profitability
- Trade investment instruments
- Develop trading and investment infrastructures
- Support Head of Treasury with financing projects
- Ensure compliance with processes and policies
- Contribute to cash flow forecasting
- Coordinate short-, mid-, and long-term liquidity projections
- Gather inputs from Finance, FP&A, and operational teams
- Assist in treasury-related transactions
- Coordinate intercompany funding, FX settlements, and interest payments
- Manage documentation workflows
- Support customer and vendor credit risk management
Berufserfahrung
- 3 Jahre
Ausbildung
- Bachelor-Abschluss
Sprachen
- Englisch – fließend
- Deutsch – Grundkenntnisse
Tools & Technologien
- MS Excel
- Power Point
- IFS
- SAP
- 360T
- Treasury Management Systems
Benefits
Mehr Urlaubstage
- 30 days of annual holiday
Öffi Tickets
- Monthly allowance for public transportation
Gratis oder Vergünstigte Mahlzeiten
- In-house canteen
Sonstige Zulagen
- Capital forming benefits
Flexibles Arbeiten
- Flexible working hours
Boni & Prämien
- Annual bonus depending on performance
Gefällt dir diese Stelle?
BetaDein Career Agent findet täglich ähnliche Jobs für dich.
Über das Unternehmen
Evotec SE
Branche
FinancialServices
Beschreibung
The company supports drug discovery efforts by ensuring ethical and regulatory compliance in human sample management.
Noch nicht perfekt?
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