Senior Treasury & Liquidity Analyst

26 days ago
Full time role
In-person · Frankfurt, HE, DE... more
  • Responsible for daily cash management, payment and liquidity processes incl. cashflow forecast.
  • Develop standards and structures around liquidity reporting and forecasting.
  • Contact person for banks and relevant central functions such as group treasury.
  • Development and implementation of working capital improving actions and measures
  • Ensure compliance with group standards.
  • Automation and improvement of treasury & payment processes and interfaces.