Job family : Finance
Business area : Andritz Group
Contract location :
Raaba-Grambach, Styria, AT
Working location : Vienna, Vienna, AT; Raaba, Styria, AT
Location type : Office Location / Office-based
Contract type : Permanent
Job description :
Every day, ANDRITZ continues to deliver successful innovative solutions to our customers globally. Why are we so successful? Because we are passionate and love what we do We are at the forefront of future engineering technologies, with solutions that ensure the success of our clients in key industries that are shaping the future of the world we live in.
In our Group Treasury Department we are looking for a Treasury Operations & Controls Specialist (m / f / d).
Your Tasks
Reporting & Controlling
- Creation and further development of treasury reports (e.g. cash position, FX exposure, financing, cash forecasting)
- Collaboration on treasury topics in monthly, quarterly and annual financial statements
- Development of BI dashboards and automated reporting structures
Operations & Governance
Participation in the definition and implementation of treasury policies & controlsSupport in the validation of cash forecasts and exposure dataPerformance of plausibility checks, deviation analyses and scenario analysesPreparing internal and external audits in the treasury areaCompliance & Documentation
Supporting bank account managementEnsuring compliance with internal control systems (ICS) and regulatory requirements (e.g. EMIR, MIFID II)Documentation of processes and interfaces in the treasury environmentCollaboration & Interfaces
Close collaboration with the cash management and front office (markets & investments) departmentsCoordination with local treasury units in regulated markets (e.g. Brazil, India, China)Collaboration with banksSupport for group-wide treasury initiatives and projectsOther
Supporting in cash management structures and set-upsSupporting in bank connectivity related topicsSupporting in Treasury Management System implementationYour Profile
Degree in finance, economics, controlling or comparable trainingExperience in treasury, controlling or financial reportingKnowledge of treasury management systems and SAP is an advantageExperience in setting up cash pooling and other cash management structures is an advantageVery good Excel and BI skills (Power BI, Tableau or similar)Analytical thinking, accuracy and a high affinity for numbersAbility to work in a team, strong communication skills and a structured approach to workVery good German and English skillsOur Offer
Andritz AG offers a secure job in an innovative and international company with long-term development opportunities.
Active involvement in shaping a state-of-the-art treasury structure and introducing modern & innovative toolsWorking in a modern, digitalised treasury organisation with a global focusCreative freedom in a strategically important areaInternational cooperation and exciting projectsTalent & leadership programsFlexible working time modelHome office optionVarious employee discountsSubsidized company restaurantParking spaces & public accessibilityBike LeasingIn Austria we are legally obliged to announce at least a gross monthly salary of € 4.545,33 for this position. Depending on qualifications and professional experience we offer you a market-based salary
We pursue a policy of equal rights and opportunities and do not discriminate against any applicants on the basis of gender, ethnic origin, religion, sexual orientation, disability or other protected characteristics. We promote diversity and equal opportunities and place exclusive emphasis on your qualifications, experience and skills that are relevant to the advertised position.
Contact partner : Caterina Höller
Requisition ID : 18837