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Expert Corporate Treasury (m/f/d)
Veröffentlicht am
- Arbeitsort
- 70173 Stuttgart, Baden-Württemberg, Deutschland
Stellenbeschreibung
Overview
In this treasury-focused role, you support global project execution by optimizing cash disposition and short-term planning for the Exyte Group. You will work with cross-functional treasury teams across regions to translate short-term cash plans into mid-term strategies and handle back-office treasury processes. The role emphasizes data-driven liquidity management, automation, and ensuring robust, compliant workflows in a multinational setting. You will contribute to a scalable treasury function and partner with banks and internal stakeholders to drive efficiency.
Verantwortungsbereiche
- Consolidate and analyze short-term cash forecasts to maintain liquidity
- Analyze cash flow patterns, liquidity drivers, and forecast accuracy
- Ensure data quality and integrity across systems
- Drive automation and digitalization through data modeling and workflow optimization
- Act as deputy for treasury operations by overseeing TMS (Coupa) and the global electronic banking system (TIS)
- Coordinate guarantee processes with internal and external stakeholders
- Ensure smooth, compliant end‑to‑end back‑office workflows when standing in for treasury operations
Zentrale Anforderungen
- Completed university degree in Business Administration (Finance, Accounting or Controlling)
- at least three years of hands-on data analytics experience in finance/treasury of a multinational company or banking sector
- excellent command of German and English
- strong IT affinity and advanced MS Office proficiency (Excel)
- experience with treasury systems (Coupa, TIS) and data analytics tools (SQL, Excel, Power BI; Python/R beneficial)
- strong analytical capabilities and data storytelling; robust data literacy
- excellent communication and presentation skills
- ability to work independently with a hands-on mindset
- analytical thinking
- attention to detail
- organizational strength
- Coupa
- TIS
- SQL