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求人ID : 1585866 更新日 : 2026年04月07日

PR/087422 | Treasury Analyst (English-Speaking) (m / f / d)

勤務地 ドイツ, Schwalbach am Taunus
雇用形態 正社員
給与 経験考慮の上、応相談

募集要項

OVERVIEW
Our client is an international trading company, providing steel and construction materials to a wide range of customers within EU countries. Now, they are looking for a treasury analyst to join a finance team for the EMEA HQ office in Frankfurt.

 

KEY REQUIREMENTS:

  • Solid background in finance management, especially in corporate finance, trade finance, loans, banking, FX, credit insurance, or liquidity management

  • Obtaining a finance or related degree is a must

  • Fluent English speaking and other Asian language(s) will be advantageous

  • Able to work in an international working environment

 

JOB RESPONSIBILITIES:

  • As a treasury analyst, this role will be involved in the whole loop of treasury and finance management by being responsible for operations to strategic tasks with hands-on mentality and can-do attitude:

    • Trade Finance & Working Capital Solutions 

      • Manage trade finance operations (L/C, SBLC, guarantees) 

      • Coordinate trade receivables purchase programs and supply chain finance 

      • Negotiate with banks to secure competitive terms and ensure smooth processing 

    • Loan Agreements & Bank Coordination 

      • Participate in reviewing and negotiating loan agreements with local and global banks 

      • Analyse market pricing data and prepare benchmarking reports to support financing decisions 

    • FX & Interest Rate Risk Management 

      • Monitor FX exposures and develop/support hedging strategy execution 

      • Track market developments, deliver risk analysis and market intelligence 

    • Credit Insurance Management 

      • Engage proactively with credit insurers to obtain credit limits and negotiate enhanced policy conditions. 

      • Manage and strengthen relationships with credit insurers 

    • Bank & External Partner Coordination 

      • Communicate with banks and insurers on financing, pricing, and trade instruments 

      • Collect market intelligence on financing trends and risk solutions 

    • Treasury Operations & Liquidity Management 

      • Manage daily cash and short-term liquidity 

      • Optimise cash pooling and intercompany funding

      • Maintain documentation and internal controls 

  • Collaborate and work closely with finance teams in HQ and other international locations

  • Maintain good communication with teams and execute ad-hoc tasks assigned by the HQ if needed

 

JOB REQUIREMENTS:

  • An ideal candidate is required to have practical experience in treasury analysis or a background in finance-related fields.

  • Well-versed in trade finance, corporate finance, FX, bank collaboration, rate risk management, etc.

  • SAP using experience

 

BENEFITS:

  • Full-time and permanent contract with 38.5 working hours per week

  • Hybrid work with 1 day home office

  • Annual leave 30 days 

#LI-JACDE

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応募必要条件

職務経験 3年以上
キャリアレベル 中途経験者レベル
英語レベル 流暢
日本語レベル 無し
最終学歴 短大卒: 準学士号
現在のビザ 日本での就労許可は必要ありません

勤務地

  • ドイツ, Schwalbach am Taunus

労働条件

雇用形態 正社員
給与 経験考慮の上、応相談
業種 その他(メーカー)

職種