As part of our continued growth, we are looking for a Treasury Manager (m/f/d) to join our Concrete Towers team, performing the following tasks:
- Ensure effective treasury management and liquidity planning to support business operations
- Monitor cash flow performance and identify potential liquidity risks
- Contribute to the company's financial stability through accurate forecasting and working capital optimization
- Support financial planning processes and provide reliable information for business decision-making
- Prepare and monitor weekly and monthly treasury forecasts (cash flow forecasts)
- Monitor cash inflows and outflows to ensure adequate liquidity levels across the business
- Identify liquidity risks and propose corrective actions to mitigate potential impacts
- Optimize working capital through the monitoring and management of receivables, payables, and inventories
- Prepare budgets, forecasts, and short- and long-term financial plans
- Collaborate closely with Finance and other business departments to improve treasury and cash management processes
- Support management reporting and financial analyses related to cash and liquidity performance
YOUR BENEFITS:
In addition to the opportunity to make our world a little more sustainable, we offer you:
- Some offers may vary by location
Nordex adheres to a policy of equal employment opportunity. All employment decisions are made without regard to religion, age, sex, color, national origin, handicap, or other protected class and are in full compliance with all federal and state laws.