Finance Jobs

Jobs found: 28 result(s)
Frankfurt, Hessen

Senior Manager Cost Controlling

Senior Manager Cost Controlling Location: Frankfurt Join an international organisation as Senior Manager Cost Controlling, contributing to the further development of financial steering, reporting, and controlling processes. In this role, you will collaborate with a range of stakeholders to support business performance, improve transparency, and drive continuous process optimisation across the organisation. Key Responsibilities: Further develop and optimise controlling processes within a high-performance finance environment. Partner with business functions to support effective resource planning and utilisation. Conduct variance analyses and identify trends, risks, and optimisation opportunities. Prepare management reports and presentations to support strategic decision-making. Drive continuous improvement initiatives across controlling and reporting activities. Support digitalisation projects, particularly relating to dashboards and front-end reporting tools. Your Profile: Degree in Business Administration, Finance, or a related discipline. At least 5 years’ experience in FP&A or project controlling within an international environment. Strong analytical skills with a structured and detail-oriented working style. Ability to present complex financial topics clearly and effectively. Excellent knowledge of SAP modules such as SEM-BCS, CO, and BW; experience with Power BI is beneficial. Advanced MS Office skills, particularly Excel and PowerPoint. Fluent English and German. What’s on Offer? A strategically relevant finance role with broad stakeholder exposure. Opportunity to shape reporting and controlling processes in an international environment. Modern and data-driven finance landscape with digitalisation focus. Long-term development opportunities within a growing organisation.
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Hamburg, Hamburg

Financial Risk Manager

Financial Risk Manager Location: Hamburg Join an international organisation as Financial Risk Manager, supporting treasury activities, financial planning, and risk-related initiatives within a dynamic corporate environment. In this role, you will contribute to the development of treasury processes, support financial oversight activities, and collaborate closely with stakeholders across the business.   Key Responsibilities:   Support treasury and financial risk management activities across the organisation. Contribute to the optimisation of treasury processes, controls, and reporting structures. Assist with liquidity planning, forecasting, and treasury-related operations. Prepare financial analyses, reports, and management information. Support treasury transactions, documentation, and operational coordination activities. Collaborate with finance and business teams on treasury and risk-related topics. Contribute to governance, compliance, and continuous improvement initiatives within the treasury function.   Your Profile:   Degree in Finance, Business Administration, Economics, or a related field. Several years of experience in treasury, finance, risk management, or banking environments. Strong analytical and organisational capabilities. Experience with treasury systems, reporting tools, or financial platforms is advantageous. Structured and proactive working style with strong communication skills. Ability to work effectively across functions and manage multiple priorities. Fluent English skills; German is advantageous.
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Hamburg, Hamburg

Treasury Senior Specialist (all genders)

Treasury Operations Expert Location: Hamburg Join an international organisation as Treasury Operations Expert, supporting a broad range of treasury, operational, and process-related activities. In this role, you will contribute to the smooth execution of treasury operations, support systems and infrastructure initiatives, and help drive efficiency across financial processes. Key Responsibilities: Support day-to-day treasury operations and related administrative processes. Assist with treasury systems, reporting tools, and operational workflows. Coordinate data flows, reconciliations, and process monitoring activities. Support banking administration, documentation, and governance-related tasks. Contribute to reporting, process optimisation, and operational improvement initiatives. Assist with automation and digitalisation projects within the treasury environment. Collaborate with internal stakeholders across finance, operations, and technology functions. Support system-related projects and infrastructure enhancements where required. Your Profile: Degree in Finance, Business Administration, Economics, or a related discipline. Several years of experience in treasury, finance operations, banking, or a related field. Understanding of financial processes, systems, and operational workflows. Strong analytical and organisational skills with a structured working style. Affinity for systems, process improvements, and operational efficiency. Strong communication and stakeholder management skills. Fluent English skills; German is advantageous.
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Munich, Bayern

Business Controller

Business Controller Location: Heidenheim or Munich Our client is seeking a Business Controller to lead financial planning, forecasting, and performance analysis for a dynamic business unit. This role partners closely with cross-functional teams and senior leadership to drive data-informed decisions and improve financial outcomes. Key Responsibilities: Lead and coordinate forecasting and planning activities for a specific business unit. Analyse business performance, processes, and financial results to identify trends and improvement opportunities. Develop actionable recommendations to enhance financial outcomes and operational efficiency. Create and deliver ad hoc analyses and presentations for senior leadership. Provide financial guidance and support to cross-functional teams, including Product Management, Sales, and Customer/Complaint Management. Contribute to the ongoing enhancement of business intelligence systems, reporting processes, and performance tracking. Candidate Profile: Degree in Business Administration, Economics, or a comparable qualification. Relevant experience in controlling or financial analysis, ideally within an international environment. Strong proficiency in Excel and SAP. Fluent in both German and English (written and spoken). Strong analytical mindset with a high level of numerical competence. Excellent communication and presentation skills, with the ability to work effectively in a team. What’s Offered? A forward-thinking and collaborative work environment. An international setting with a supportive and inclusive culture. Flexible working arrangements. Opportunities for continuous professional growth and development.
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Frankfurt, Hessen

Senior Manager International Tax

International Tax Manager Location: Frankfurt A role that inspires you Join an internationally active group as International Tax Manager, acting as a key partner for global financing, M&A, and restructuring projects. In this role, you will shape cross-border tax structures, support strategic transactions, and contribute to the continuous development of tax governance within a dynamic international environment. Key Responsibilities: Act as the primary tax contact for international financing, M&A, and restructuring projects. Develop tax-efficient structures for cross-border transactions and support tax ruling processes. Lead tax optimisation initiatives, particularly in financing structures. Monitor international tax law developments and coordinate external advisors. Manage foreign tax audits and support domestic audit processes. Advise on transfer pricing matters and support related documentation. Contribute to the Tax Compliance Management System and deliver tax training. Support reporting requirements and prepare management briefings. Handle ongoing tax queries and review relevant documentation. Develop and enhance internal tax processes and guidelines. Your Profile: Degree in law, economics, or a related discipline. Several years of experience in an international corporate tax function or a large advisory firm. Completed Tax Advisor qualification or equivalent (e.g. CPA, Wirtschaftsprüfer, or fully qualified lawyer with tax focus). Strong expertise in German and international tax law. Advanced MS Office skills, particularly Excel and PowerPoint. Analytical, structured, and independent working style with high commitment. Strong communication and teamwork skills. Fluent English skills. What’s on Offer? A strategically relevant international tax role with exposure to global transactions. Close collaboration with senior stakeholders and international teams. Opportunity to shape tax structures and governance frameworks. Long-term development within a stable, international organisation.
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Muenster, Nordrhein-Westfalen

Team Lead FP&A

Team Lead FP&A Location: Munster Our client is seeking a Team Lead FP&A to support financial planning, forecasting and performance management activities within an international business environment. This role combines strategic finance responsibilities with team leadership and business partnering across multiple functions. Key Responsibilities: Lead budgeting, forecasting and long-term financial planning activities. Analyse financial performance and provide insights to support business decision-making. Oversee management reporting, KPI tracking and financial analysis processes. Partner with senior stakeholders across business and finance functions. Support the development of financial models, business cases and scenario analyses. Drive process optimisation, automation and reporting improvements. Lead and develop the FP&A team within a collaborative environment. Your Profile: Degree in Finance, Accounting, Business Administration or a related discipline. Several years of experience within FP&A, controlling or corporate finance environments. Previous leadership or team management experience would be advantageous. Strong understanding of financial planning, forecasting and reporting processes. Experience with reporting and planning tools such as Power BI, Excel or ERP systems. Strong analytical and stakeholder management skills. Structured, proactive and solution-oriented working style. Fluent English language skills; German would be beneficial. What’s on Offer? International and collaborative working environment. Flexible working model and development opportunities. Exposure to strategic finance and transformation initiatives. Long-term progression and career growth opportunities.
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