✨ About The Role
- The (Junior) Manager Risk and Cash Management Treasury will oversee group-wide national and international payment transactions.
- Responsibilities include the administration of all global internal and external loans and investments.
- The role involves managing financial risks, particularly in currency hedging.
- Participation in projects related to the digitalization of treasury functions is expected.
- The position requires communication with internal interfaces such as accounting, controlling, tax, subsidiaries, and banks.
⚡ Requirements
- A successful candidate will have a completed degree in business administration or economics, or a completed training as a bank clerk.
- The role requires prior experience in treasury within an industrial or trading company.
- Candidates should have initial experience dealing with various derivatives.
- Proficiency in MS Office standard applications and common treasury management software is essential.
- The ideal candidate will possess a hands-on mentality, strong analytical thinking skills, and a high level of initiative.
- Fluency in both German and English, both written and spoken, is necessary for effective communication.