(Senior) Manager Treasury (m/f/d)
UnzerAbout the role
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
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 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.
- 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.
Who You Are
WHAT WE OFFER
🏡 Work from home up to 60% of the time. We want you to keep your work-life balance.
🚲 Mobility support, whether you choose bike rental or leasing or a Deutschlandticket - we've got you covered.
🫴 Explore counselling assistance, be it for professional or personal matters, through our associated platform.
💰 Pension scheme, we want to give back and help you secure your future.
🏖️ 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 d
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