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(Senior) Manager Treasury (m/f/d)

📅 Jul 14
Treasury GovernanceLiquidity ManagementKYCRegulatory Compliance

📜 Description

  • Own the Treasury governance framework including policies, procedures, operating manuals and control documentation.
  • Manage treasury controls, KYC and regulatory requests and banking documentation.
  • Monitor adherence to Treasury controls and coordinate periodic control testing, identifying gaps and driving remediation.
  • See the end-to-end impact of processes and design policies that provide control and position the company for scalable growth.
  • Own Treasury Operating processes, ensuring they are documented, repeatable and continuously improved.
  • Act as a general Treasury backup for operational continuity supporting day-to-day treasury operations when team members are absent.

🛠️ Requirements

  • Several years of experience in Treasury, Cash Management, Banking, Corporate Finance or a related field.
  • Strong understanding of treasury operations and liquidity management.
  • Experience with policies, procedures, controls, governance, or regulatory processes.
  • Experience improving processes, managing projects, or supporting change initiatives.
  • Strong stakeholder management and cross-functional collaboration skills.
  • Strong analytical and problem-solving skills.
  • Excellent written and verbal communication skills in English; German is a plus.
  • Experience in a regulated environment, fintech, process automation, or multi-jurisdictional operations is an advantage.
  • Comfortable working across multiple stakeholders and competing priorities.
  • Comfortable building structure in a complex environment.

Benefits

  • 🏡 Work from home up to 60% of the time. We want you to keep your work-life balance.
  • 🫴 Explore counselling assistance, be it for professional or personal matters, through our associated platform.
  • 🏖️ 15 days a year to work from your desired destination within the EU.
  • 🕟 Flexible working hours – you get to choose the schedule that works best for you!
  • 🎉 Enjoy some fun moments with your coworkers – we throw a company party once a year and host several team events!
  • What You Will Do
  • See the end-to-end impact of processes and design policies that provide control and position the company for scalable growth.
  • Act as a general Treasury Back up for operational continuity supporting day-to-day treasury operations when team members are absent.
Full job description

ABOUT US

Unzer is a leading European fintech company with a mission to simplify international payments for e-commerce and retail businesses. Our brand was formed from 13 companies that now contribute to building a unique product covering the entire payment flow.

At Unzer, we are driven by the belief that customers should enjoy a seamless shopping experience, no matter where they choose to shop. We are a team of over 750 experts from 70 different nationalities, dedicated to creating a state-of-the-art unified commerce platform. Our goal is to enable businesses to delight their customers with a seamless payment experience.

Whether you're a tech enthusiast, payment expert, or a dedicated support professional, we are looking for individuals who are passionate about making a difference.

Our offices: We are based across Austria, Denmark, Germany and Luxembourg with a HQ in Berlin.

ABOUT THE TEAM

Treasury plays a critical role in ensuring the financial stability, liquidity and operational efficiency of the business. We manage liquidity across multiple entities, support strategic funding initiatives, oversee banking relationships and drive treasury transformation across the organization.

As our business continues to grow, we are looking for a (Senior) Treasury Manager who combines strong operational understanding with a passion for improving processes, building scalable solutions and driving change across a complex organization.
WHAT WE OFFER 🏡 Work from home up to 60% of the time. We want you to keep your work-life balance.   🫴 Explore counselling assistance, be it for professional or personal matters, through our associated platform.   🏖️ 15 days a year to work from your desired destination within the EU.   🕟 Flexible working hours – you get to choose the schedule that works best for you! 📗 Learning budget of 1000 euros per year – you can develop your passions with us.   🎉 Enjoy some fun moments with your coworkers – we throw a company party once a year and host several team events!    *Unzer is an equal employment opportunities workplace, and we commit to hiring regardless of race, sex, gender identification, sexual orientation, national origin, native language, religion, age, disability, marital status, citizenship, genetic information, pregnancy, or any other characteristic protected by law. Please refrain from including your picture and age with the application.   #LI-HYBRID

What You Will Do

  • Own the Treasury governance framework including policies, procedures, operating manuals and control documentation.
  • Manage treasury controls, KYC and regulatory requests and banking documentation.
  • Monitor adherence to Treasury controls and coordinate periodic control testing, identifying gaps and driving remediation.
  • See the end-to-end impact of processes and design policies that provide control and position the company for scalable growth.
  • Own Treasury Operating processes, ensuring they are documented, repeatable and continuously improved.
  • Act as a general Treasury Back up for operational continuity supporting day-to-day treasury operations when team members are absent.
  • Work with Treasury Managers in developing and delivering related reporting.
  • Coordinate Treasury initiatives across Finance, Technology and Banking partners, tracking actions and ensuring delivery against agreed timelines.
  • Identify opportunities to improve Treasury processes through automation, standardization and system enhancements.
  • What We Are Looking For

  • Several years of experience in Treasury, Cash Management, Banking, Corporate Finance or a related field.
  • Strong understanding of treasury operations and liquidity management.
  • Experience with policies, procedures, controls, governance, or regulatory processes.
  • Experience improving processes, managing projects, or supporting change initiatives.
  • Strong stakeholder management and cross-functional collaboration skills.
  • Strong analytical and problem-solving skills.
  • Excellent written and verbal communication skills in English; German is a plus.
  • Experience in a regulated environment, fintech, process automation, or multi-jurisdictional operations is an advantage.
  • Who You Are

    • Comfortable working across multiple stakeholders and competing priorities.
    • Comfortable building structure in a complex environment.
    • Curious and interested in how processes connect across teams.
    • Proactive, low-ego, reliable and solution-oriented.
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