TÜV Rheinland Group

Business & Administration Corporate Treasury Manager (f/m/d)

Stellenbeschreibung:

Behind every successful audit, certification, and inspection stands a strong team in ourService Functions . Whether HR, IT, Finance, Marketing, Controlling, Procurement, Facility Management,our Shared Service Centers, QHSE, Legal, Corporate Development, or Corporate Communication –they all contribute to ensuring that our operational units worldwide can achieve top performance.

We rely on innovative processes, digital solutions, and a strong corporate cultureto support employees, create efficient structures, and enable sustainable growth .Our work is diverse, ranging from developing modern HR programs to optimizing globalfinancial processes to ensuring the highest compliance and quality standards.

Shape the future of TÜV Rheinland with us!

In our Service Functions, you can contribute your expertise, optimize processes, and actively participate in shapingthe company's future . We offer you an international, dynamic environment that fosters innovation, collaboration,and personal growth.

Become part of our strong network and help shape the world of tomorrow with us!


Activities & responsibilities

  • In this role, you support the development and implementation of the Group’s financial and treasury strategy.
  • You manage central external loans and credit lines, including promissory notes, revolving credit facilities and real estate loans, while supervising decentralized credit facilities and maintaining relationships with the Group’s core banks.
  • You coordinate the financing of Group subsidiaries through intercompany loans and, where required, other tailored financing structures, serving as a business advisor to Group subsidiaries for Treasury-related inquiries.
  • In addition to that, you manage the Group’s foreign exchange risk, including the use of financial derivatives.
  • Besides that, you manage centrally issued guarantees, such as comfort letters, parental guarantees and bank guarantees, while supervising local contingent liabilities.

Experience & further qualifications

  • Master’s degree in economics, finance or a comparable field
  • At least five years of professional experience in a corporate treasury organization
  • Strong analytical skills with the ability to understand complex topics and communicate insights clearly
  • Good understanding of macroeconomic dynamics, financing instruments, risk management and legal aspects of banking agreements
  • Fluent in English and German, with solid system knowledge of treasury management systems such as SAP or Trinity, Microsoft 365, Co-Pilot and financial data platforms such as Reuters or FactSet

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EnglishEN: Please refer to Fuchsjobs for the source of your application
DeutschDE: Bitte erwähne Fuchsjobs, als Quelle Deiner Bewerbung

Stelleninformationen

  • Veröffentlichungsdatum:

    16 Aug 2026
  • Standort:

    Köln

    Einsatzort:

    Köln, Deutschland
  • Typ:

    Vollzeit
  • Arbeitsmodell:

    Vor Ort
  • Kategorie:

  • Erfahrung:

    2+ years
  • Arbeitsverhältnis:

    Angestellt

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