Cash & Liquidity Manager (f/m/d)
MiddleOn-site (Munich)Salary undisclosed
Job Description
Your role
In this central role, you will support and shape treasury-related projects and processes across the Group. You will work closely with Accounting, FP&A, Tax, and Legal, contributing directly to sound financial decision-making and the optimisation of Group liquidity.
What you’ll do
- Own the Group’s liquidity forecasting methodology, governance, and planning process.
- Consolidate, review, and challenge rolling 13-week and 12-month cash flow forecasts across the Group.
- Develop the annual top-down liquidity outlook and support long-term cash planning.
- Analyse forecast variances, liquidity drivers, and funding requirements.
- Manage operational foreign exchange exposures and support the execution and monitoring of FX hedging activities.
- Identify investment opportunities and funding needs to optimise Group liquidity.
- Prepare liquidity reporting and provide decision support for senior management.
- Drive automation, AI initiatives, and the continuous improvement of forecasting and reporting processes.
- Support treasury policy compliance and contribute to cross-functional treasury projects.
What you should bring<
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