We are looking for a hands-on Cash Manager / Treasury Manager to take ownership of group-wide cash management, liquidity planning and treasury operations. The Cash Manager / Treasury Manager will report to the Managing Director Finance.
In this role, you will ensure reliable cash visibility, disciplined payment execution and robust short- and mid-term liquidity forecasting across the group. You will work closely with Finance, especially Controlling and Accounting, as well as Investment, Operations and banking partners to support effective financial steering and scalable growth.
This is a hands-on role in a dynamic growth environment, focused on building structure, improving liquidity transparency and embedding treasury discipline across the group.
- Manage group-wide cash visibility and daily cash positioning
- Operate and further develop COBASE as the central banking and cash management platform
- Prepare and maintain rolling cash forecasts, including short-term and 12-month liquidity views
- Coordinate cash forecast inputs with relevant stakeholders in Finance and Operations
- Execute and monitor payment runs in line with approval processes and internal controls
- Maintain bank account structures, signatories, access rights and bank documentation
- Act as key operational contact for banks and banking service providers
- Monitor FX exposures and support basic FX management activities
- Support working capital and project cash flow transparency
- Establish and improve treasury processes, reporting routines and governance standards
- Provide regular cash and liquidity reporting to Finance leadership