Vielschichtige Perspektiven
We are a leading company specializing in the design and manufacturing of equipment for vacuum coating applications. As our Corporate Treasurer, you won’t just manage numbers—you’ll shape the financial backbone of a global technology leader. You’ll be the strategic mind behind our liquidity, risk, and capital structure, ensuring we stay agile, resilient, and ready for growth. This is your chance to work at the intersection of finance, innovation, and international collaboration.
Gemeinsam Verantwortung übernehmen
- Lead global cash flow and liquidity management across multiple currencies and regions
- Design and implement scalable treasury policies and digital processes
- Manage financial risks (FX, interest rate, credit) with a proactive, data-driven approach
- Optimize working capital and banking structures to support growth
- Support investment and financing projects with treasury expertise
- Collaborate with internal stakeholders and external financial institutions
- Drive continuous improvement in treasury systems and analytics
Eigene Kompetenzen einbringen
- University's Degree in Finance, Business Administration, or a related field
- Several years of proven experience in corporate treasury or financial risk management
- Exceptional analytical skills and a data-driven mindset
- Familiarity with treasury systems and ERP platforms (e.g., SAP)
- Experience in process optimization and system implementation is highly desirable
- Excellent communication skills in English; proficiency in German is an advantage