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Treasury Specialist

Your mission

PTV Logistics is a leading global software company for planning, calculating, and optimizing transport logistics to save time and costs. With more than 40 years of experience and record-breaking algorithms in route planning and tour optimization, our software enables logistics companies worldwide to unlock real efficiency gains through smarter planning and automation.

As a Treasury Specialist (m/f/d), you will support both day-to-day treasury operations and the further development of treasury structures across the group. Working closely with finance stakeholders and external banking partners, you will help improve liquidity management, increase transparency, and drive efficient, reliable treasury processes.

Your area of responsibility includes:

Treasury Operations & Cash Management

  • Support daily treasury activities, including cash positioning, liquidity monitoring, and short- and medium-term cash-flow forecasting
  • Coordinate bank-related processes and act as a point of contact for banking partners and internal stakeholders
  • Monitor group-wide cash balances and contribute to efficient cash allocation and liquidity management
  • Support payment processes, bank account administration, and the management of banking authorizations
  • Prepare treasury reports and provide reliable data and insights for finance stakeholders and management

Treasury Structures & Projects

  • Contribute to the further development of group-wide treasury structures and processes
  • Support intercompany financing, cash concentration, and cash-pooling initiatives
  • Help improve treasury systems, reporting tools, documentation, and internal controls
  • Collaborate with finance teams across the group to increase transparency and standardize treasury processes
  • Support treasury-related projects and help translate recommendations into practical day-to-day solutions

Your profile

  • Degree in Business Administration, Economics, Finance, Treasury Management, or a comparable commercial qualification
  • Around 3–5 years of relevant experience in treasury, ideally gained in an international company, banking environment, or corporate finance function
  • Hands-on experience with cash management, liquidity planning, cash-flow forecasting, and bank-related processes
  • Experience with intercompany financing, cash pooling, bank account administration, or treasury systems is a strong plus
  • A pragmatic, hands-on working style and the ability to translate concepts into effective day-to-day processes
  • Strong coordination and communication skills, with the ability to collaborate effectively across teams and with external banking partners
  • Structured and analytical mindset with a strong affinity for numbers, processes, and financial data
  • Business-fluent English; German is strongly preferred
  • Self-driven, reliable, and proactive personality with a strong willingness to learn

Why us?

Here you can find our benefits: About | Careers | Benefits (EN) | PTV Logistics

Further information

Germany, remote | Italy, remote | Netherlands, remote | Poland, remote

Contact Person

Magdalena Riffault
Senior Talent Acquisition Partner

Skills

  • Treasury Management
  • Cash Flow Forecasting
  • Liquidity Management
  • Bank Relationship Management
  • Financial Reporting
  • Intercompany Financing
  • SAP

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