The role encompasses strategy development, Target Operating Model design, implementation of the required systems, and ongoing operational treasury management. * Develop and implement the Treasury Target Operating Model, lead Treasury Management System selection and implementation, establish international banking structures, and manage treasury transition activities * Experience with Treasury Management System selection and implementation projects * Establish and manage FX hedging processes, treasury accounting, and guarantee management frameworks * Recruit and develop the treasury team, establish treasury governance, and manage external including banks, auditors, and system providers * Deep expertise in cash management, liquidity forecasting, payments, and cash pooling * Strong knowledge of FX risk management, hedge accounting (IFRS 9), and fair value measurement (IFR
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