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Orbem is an impact-driven deep-tech startup from Munich, Germany. We develop fast, accurate, and accessible imaging solutions that provide access to otherwise unattainable sources of knowledge.
We seek to make a difference – and develop solutions to sustainably feed the world, accelerate the transition to a green economy, and transform disease detection.
Join us on our mission to unleash AI-powered imaging for everything and everyone.
Starting date: As soon as possible
Yearly Salary: Part-time: €45,000–€50,000 - Full-time: €90,000 - €100,000 (fixed range, annual gross)
Equity: Part-time: €20,000–€40,000 - Full-time: €40,000 - €80,000 in company shares
Benefits: Up to €5,000 annually
Work model: Full-time or Part-time, Hybrid in Munich or remote in Germany
Travel: Occasional travel to Munich is required
As our Global Expert Treasury (m/f/d), you are responsible for shaping and executing Orbem’s financing strategy and ensuring compliance with best practices. You will work closely with the Director of Finance to define, establish, and implement our financing strategy, supporting our team of over 130 people.
Your dedication to creating financing strategies, combined with a focus on executing, optimizing, and automating Treasury processes, supports our growth, which has been fueled by over EUR 30 million in Series A funding.
Our goal is to ensure the financial health of Orbem through optimal financing strategies and implement the most efficient Treasury processes.
As the primary contact for Global Treasury, you will shape Treasury processes in compliance with national and international standards.
Your responsibilities include:
Maintain all global banking relationships and strong communications with banks and other financial service providers
Develop strategic finance initiatives (e.g. M&A and financing requirements) in partnership with key stakeholders
Ensure sufficient funds are available to meet ongoing operational and capital investment requirements
Ensure efficient cash management within the whole group including oversight of electronic cash receipts and cash disbursement processing
Monitor quarterly and annual compliance with loan agreements
Manage excess operating cash to obtain optimum interest revenue
Manage currency and interest-rate risk
Maintain all global banking relationships and strong communications with banks and other financial service providers
Maintain all global banking relationships and strong communications with banks and other financial service providers
Develop strategic finance initiatives (e.g. M&A and financing requirements) in partnership with key stakeholders
Develop strategic finance initiatives (e.g. M&A and financing requirements) in partnership with key stakeholders
Ensure sufficient funds are available to meet ongoing operational and capital investment requirements
Ensure sufficient funds are available to meet ongoing operational and capital investment requirements
Ensure efficient cash management within the whole group including oversight of electronic cash receipts and cash disbursement processing
Ensure efficient cash management within the whole group including oversight of electronic cash receipts and cash disbursement processing
Monitor quarterly and annual compliance with loan agreements
Monitor quarterly and annual compliance with loan agreements
Manage excess operating cash to obtain optimum interest revenue
Manage excess operating cash to obtain optimum interest revenue
Manage currency and interest-rate risk
Manage currency and interest-rate risk
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