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Manager, Group Treasury
GETEC Group. Serve as the central interface between management and shareholders for strategic financial decisions .
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in treasury management, financial decision-making, and strategic financial transactions, with a strong focus on optimizing treasury systems and managing foreign exchange risks. Proficient in both German and English, with a hands-on approach to supporting corporate finance initiatives.
Highest-signal resume keywords
Treasury ManagementFinancial Management SystemsTM5 (Coupa)Analytical SkillsDecision-Making Skills
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Treasury ManagementFinancial AnalysisM&A TransactionsKYC ProcessesForeign Exchange Risk ManagementIntercompany FinancingStrategic Financial TransactionsBank ControllingGuarantee ManagementBusiness Informatics
Soft Skills
Confident CommunicationService OrientationHands-On MentalityIndependent WorkUnderstanding of Business Interrelationships
Tools & Technologies
TM5 (Coupa)
Industry Keywords
Corporate FinanceTreasuryInternational Corporate EnvironmentStrategic FinanceFinancial Transactions
About the role
Key responsibilities & impact- Serve as the central interface between management and shareholders for strategic financial decisions
- Ensure daily payment transactions with an annual volume of more than €1 billion
- Manage banking activities, including account administration, bank controlling, and KYC processes
- Independently coordinate and support strategic financial transactions involving shareholder financing, M&A, and refinancing
- Manage guarantees and oversee intercompany financing
- Manage foreign exchange risks
- Operate, optimize, and further develop the TM5 (Coupa) treasury management system
- Support Group companies and management with treasury-related and financial matters
- Contribute to strategic special projects related to the CFO agenda
- Report directly to the Group Head of Strategic Finance & Treasury
Requirements
What you’ll need- Successfully completed degree in business administration, economics, or a related field, ideally with a focus on treasury, corporate finance, controlling, business informatics, or a comparable discipline
- Regular presence at the Magdeburg site, generally every two weeks
- Several years of professional experience in treasury or finance within an international corporate environment
- Proficiency in treasury and financial management systems
- Experience with TM5 (Coupa) is an advantage
- Strong analytical skills
- Hands-on mentality and a strong understanding of business interrelationships
- Confident communication skills in German and English
- Italian language skills are a plus
- Ability to work independently, strong decision-making skills, and a high level of service orientation
Benefits
Comp & perks- Flexible working hours with flexitime
- 30 days of annual leave
- Subsidy for the Deutschlandticket
- Company bicycle leasing program
- Fitness and wellness benefits through Hansefit
- Free access to LinkedIn Learning
- Internal and external training and coaching opportunities
- Agile working methods and modern office concepts
- Discounts at more than 800 product and event providers through the Corporate Benefits portal