Treasury & Funding Lead
About the position
LIONPRO Group is looking for a Treasury & Funding Lead to ensure clear visibility over the Group’s liquidity, prepare cash flow forecasts, and coordinate funding and banking processes across our international group of companies. You will be a key partner to management on treasury matters, providing high-quality financial information to support decision-making, developing strong banking relationships, and driving continuous improvement of treasury processes.
KEY RESPONSIBILITIES
- Maintain a consolidated view of cash positions across all Group entities, bank accounts, and currencies.
- Prepare and continuously improve short- and medium-term cash flow forecasts.
- Identify liquidity gaps, funding needs, and working capital risks at an early stage, providing clear recommendations.
- Act as the main finance contact for relationship banks and coordinate banking operational requirements.
- Coordinate payment calendars, account funding, payment controls, and escalation of urgent payments.
- Coordinate existing loans, credit facilities, guarantees, and other financing arrangements.
- Maintain a calendar of loan repayments, interest payments, principal repayments, financial covenants, and lender reporting obligations, ensuring timely compliance and identifying potential risks.
- Prepare clear treasury reports covering cash, forecasts, debt, and key risks.
- Coordinate execution of foreign exchange hedging contracts and contribute to FX strategy planning.
- Coordinate commodity hedging and forward contract execution and contribute to hedging strategy planning.
- Prepare information packages and financing proposals for lenders, and participate in negotiations with banks and other financing partners.
- Monitor compliance with financial covenants, identifying potential breach risks at an early stage.
- Maintain governance over bank accounts, signatory rights, access, and KYC documentation.
- Continuously improve treasury processes, controls, and automation solutions to support efficient cash and funding management.
EXPERIENCE AND QUALIFICATIONS
- Hands-on experience in corporate treasury, banking, corporate finance, cash management, or a similar finance role.
- Practical experience in cash flow forecasting, liquidity planning, credit facility management, and lender reporting.
- Good knowledge of loan documentation, covenant terms, interest calculations, and financing structures.
- Good theoretical knowledge of financial instruments.
- Strong analytical thinking and the ability to consolidate fragmented financial information into clear, actionable management insights.
- A strong sense of responsibility, accuracy, and the ability to handle confidential information.
- Experience in an international, multi-entity, or multi-currency environment will be considered an advantage.
- Advanced Excel skills and practical experience using AI tools.
- Good command of English.
WHAT WE OFFER
- Gross monthly salary: EUR 3,000 – 3,800, depending on experience and competencies.
- Health insurance from your first working day.
- An annual personal development budget of EUR 1,000
- Additional paid vacation days.
- Parking allowance or sports membership reimbursement.
- A dynamic, international working environment with excellent career growth opportunities and the chance to work with some of the world’s leading banks and financial institutions.
- A friendly, results-driven team.