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Lächelnde Mitarbeiterin im Gespräch mit Kollegin im Büro
Lächelnde Mitarbeiterin im Gespräch mit Kollegin im Büro
ID: 128858

Interim Lead Treasury

  • General
  • Asap
  • Controlling, Financial Accounting, Cash Pooling
  • K-Recruiting GmbH
Ansprechpartner:

Julius Strack

+49 89 1890998-614

julius.strack@k-recruiting.com

Overview

Availability
Asap, 5 days/week, on-site & remote
Qualification
Diploma – Business Administration
Language Skills
German (native), English (business fluent)
Relevant Expertise
Treasury & Financing, Controlling, Financial Accounting, Software Administration & Process Optimization, Cash Management, Financing, Technical Management, Risk Analysis, Liquidity Planning, Payment Transactions, Cash Pooling, Guarantees, Pharmaceuticals

Key-Facts

  • More than 19 years of professional experience in treasury and corporate finance in management and specialist positions

  • Proven expert in the field of treasury

  • Over 10 years of project experience in various Industries (e.g. pharmaceuticals and healthcare)

  • Strong hands-on mentality and flexibility

Extract from previous activities

Pharmaceutical Company, Germany

Teamlead Treasury

  • Budget Manager for Treasury Development

  • Implementation project Treasury Management System in Coordination with Controlling, Accounting, IT & External Consultants

  • Setting up all processes end-to-end

  • Development of internal and external reporting

  • Hiring & Integration of Employees

  • Process commencement after merger

  • Identification of weak points and optimisation potentials

  • Analysis of bank charges

Service Companies, Germany

Project Manager Development Treasury

  • Introduction of a new system landscape in Group Treasury (Payment Factory, SWIFT Connectivity Treasury Management System, Trading Platform, Advice System, etc.)

  • Project Management Office: Project planning, budget and schedule control, coordination of internal and external stakeholders

  • Creation of decision templates

  • Creation of test concepts

Chemical Company, Germany

Senior Treasury Manager

  • Liquidity planning and daily cash

  • Introduction of Liquidity Planning Tool (TipCo)

  • Establishment of new central structures

  • Processes

  • Bank reporting, advising the CFO on syndicated loans

Financial Services, Germany

Interim Head of Group Treasury

  • Cash management of both client and company funds; Treasury is part of the value chain

  • Implementation of general treasury standards and policies; Process analyses

  • Provision and further development of the globally required banking network

  • Risk analysis and set-up of payment transaction products for new suppliers (payment methods) and new customers (payments service providers or merchants)

  • Risk analysis and support for new market entries

  • Evaluation of promotional loans

  • Support for regulatory-driven projects

  • Responsible for manual reconciliation process between suppliers and companies as well as for all payouts to customers

  • Automation of processes, further development of payment systems and FX management

  • Takeover of all operational problem cases in day-to-day business

Industrial Company, Germany

Group Treasury Manager

  • Establishment of an in-house treasury department after the carve-out

  • Introduction of cash pooling with different banks

  • Introduction of group-wide liquidity planning

  • Selection and implementation of a treasury management system, set-up/roll-out incl. liquidity planning (Bellin/tm5) and reports

  • Intercompany Financing, Guarantees and Sureties

  • Authority to issue directives vis-à-vis subsidiaries

  • Financial management of the worldwide subsidiaries

  • Syndizierte Kredite, Supplier Finance (Working Capital Management, Reverse Factoring)

  • Trading Plattform 360T Set-up

  • Derivatives Valuation, Hedge Accounting, Effectiveness