MB Energy, founded in 1947 and headquartered in Hamburg, is an independent and integrated energy company with operations in Europe, the United States, and Singapore. The company is active in the import, storage, distribution, and marketing of petroleum products, liquefied petroleum gas (LPG), chemicals, and biofuels. With decades of industry experience and an innovative approach, MB Energy plays an active role in the global energy landscape, supporting its customers in the transition to lower-emission energy sources by developing and providing forward-looking alternatives.
Let's shape the future of the energy industry together!
For our company headquarters in Hamburg' s HafenCity , we are looking for you to start as soon as possible as
Treasury Manager (m/f/d) Liquidity, FX and Working Capital Optimization
Here's what you can look forward to:
In this role you are an important interface between the business treasury and accounting and play a key role in strengthening liquidity efficiency and cash flow transparency across our business. Within the treasury team, you actively contribute to the optimization of working capital structures in a highly dynamic energy trading environment.
You combine financial expertise with commercial understanding and work closely with operational teams to improve cash flow predictability, optimize collateral usage, and increase process transparency. You challenge existing ways of working, drive automation initiatives, and support the business in making financially efficient decisions across the trading lifecycle.
CLTRD1_DE
Veröffentlichungsdatum:
25 Jul 2026Standort:
HamburgEinsatzort:
Hamburg, HafenCityTyp:
VollzeitArbeitsmodell:
Vor OrtKategorie:
Erfahrung:
2+ yearsArbeitsverhältnis:
Angestellt
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