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Treasury Manager with German

Rolls-Royce Holdings

Treasury Manager with German

full-timePosted: Aug 19, 2026Updated: Sep 3, 2026Krakow

Job Description

Job DescriptionWhy join Rolls‑Royce?At Rolls‑Royce we are proud to be a business that has truly helped to shape the modern world and are committed to always being a force for progress; powering, protecting and connecting people everywhere.By joining Rolls‑Royce, you'll have the opportunity to work on world-class solutions, supported by a culture that believes individuality is our greatest strength, and all perspectives, experiences and backgrounds help us innovate and enable our high-performance culture.Role Purpose:The Treasury Manager is responsible for ensuring accurate and timely execution of daily cash management activities, including cash positioning, payment processing and bank account administration. The role ensures transparency and reliability of liquidity information by maintaining high-quality reconciliation and transaction processing. It contributes to efficient treasury operations by executing standardized processes and ensuring data accuracy across banking and accounting systems.Key Responsibilities:Cash Positioning & ReconciliationReconcile daily cash positions by generating and processing bank statementsIdentify and correct discrepancies, including reversing incorrect entriesValidate reconciliations within the treasury management systemLiquidity Management & Cash MovementsDaily monitoring of cash pool accountsCreate near-term cash forecast for cash poolDetermine and execute daily cash transactions based on liquidity needsManage internal cash movements and ensure proper allocationManage transactions at IC payment dates regarding cash poolSupport accurate tracking of daily liquidity positionsBank Account ManagementManage bank account lifecycle (opening and closing)Process requests, obtain approvals and update systems accordinglyInform and align with accounting teams on account changesPayment Processing & ExecutionCreate payment files and support execution of payment runsValidate and authorize outgoing payments based on defined proceduresMonitor payment processing and resolve failed transactionsBank Fee Validation & End-of-Day ProcessingReconcile bank fees by comparing actual charges with contractual conditionsInvestigate discrepancies and initiate correction requestsPerform end-of-day activities including system processing, FX confirmation and generation of GL transfersQualifications & Experience:Education:Completed commercial apprenticeshipDegree in Business Administration or basic accounting knowledge desirableRequired Experience:Min 5 years of experience in Treasury Operations within a global organizationGerman language skills (min. B2 level), English language skills (C1)Maintaining liquidityOptimizing cash resourcesManaging risk. Identifying, measuring, analyzing and mitigating potential threats to the company — including financial risksDesired Experience:Initial experience in treasury operations, accounting or cash management desirableExperience with SAP, treasury management systems or electronic banking tools advantageous.What do we offer:Private healthcare and group life insuranceAnnual bonusmyBenefit platform/subsidy for Multisport cardsInternet and electricity allowance for remote workIncreased funding for the Employee Capital Plans (PPK) program; Rolls Royce Sp. z o.o. contributes 3% to this programAdditional vacation days based on length of service with the employerHybrid work model (2 days in the office / 3 days from home)Work in a modern office located in the Krakow centre – the Unity Tower (ul. Lubomirskiego 20).The Kraków Rolls Royce Global Capability Centre represents an exciting new chapter in the growth of Rolls Royce Group Business Services. Designed to support global operations and employee services, the Centre is a key hub for enabling operational efficiency and strengthening global business processes. It delivers exceptional services across finance, procurement, HR, Data Analytics and Service Management.Our vision is to ensure that the excellence and ingenuity that shaped our history continues into our future. Our multi-year transformation programme aims to turn Rolls Royce into a high-performing, competitive, resilient and growing company. Join us, and it can be your future vision too.Rolls Royce are committed to being a respectful, inclusive, and non-discriminatory workplace where individuality is valued, diverse perspectives fuel innovation, and everyone can thrive.Please note that all applicants will be subject to Poland right-to- work check as part of the recruitment process.Job CategoryFinancePosting Date19 Aug 2026; 00:08

Locations

  • Krakow

Skills Required

  • Treasury Operations within a global organizationintermediate

Required Qualifications

  • Min 5 years of experience in Treasury Operations within a global organization (experience, 5 years)
  • German language skills (min. B2 level), English language skills (C1) (experience)
  • Maintaining liquidity (experience)
  • Optimizing cash resources (experience)
  • Managing risk. Identifying, measuring, analyzing and mitigating potential threats to the company — including financial risks (experience)

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