MB Energy

Treasury Manager (m/w/d) Liquidity, FX and Working Capital Optimization (m/w/d)

MB Energy  •  Hamburg, DE (Onsite)  •  3 hours ago
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Job Description

MB Energy, founded in 1947 and headquartered in Hamburg, is an independent and integrated energy company with operations in Europe, the United States, and Singapore. The company is active in the import, storage, distribution, and marketing of petroleum products, liquefied petroleum gas (LPG), chemicals, and biofuels. With decades of industry experience and an innovative approach, MB Energy plays an active role in the global energy landscape, supporting its customers in the transition to lower-emission energy sources by developing and providing forward-looking alternatives.

Let’s shape the future of the energy industry together!

For our company headquarters in Hamburg's HafenCity, we are looking for you to start as soon as possible as

Treasury Manager (m/w/d) Liquidity, FX and Working Capital Optimization (m/w/d)

Our offer to you:

  • Work-life balance 38.75 working hours per week with 30 days annual leave

  • Ability to work freely flexible working hours and individual remote work arrangement

  • Remuneration and additional benefits: Profit sharing, 13 salaries, holiday pay, travel allowance, etc

  • Support in various life situations: through our partner PME Family Service, offering support in life crises as well as professional advice on work-related and personal matters, such as childcare, elder care, and more

  • Security and provisions: accident insurance also covering private accidents; excellent employer's contribution to your company pension scheme; Lifetime Account with opportunities to save for sabbaticals or early retirement

  • Health: Subsidized membership with EGYM Wellpass, providing access to a wide range of sports facilities across Germany, as well as online courses in fitness, nutrition and meditation; bicycle leasing

  • Learning & Development support on your individual development path with internal and external training opportunities

  • Networking: Networks within the company to establish cross-team and international connections, as well as company events

  • Open corporate culture: at heart, a family-owned company with drive, a culture of lived tolerance, speak-up mentality and strong team spirit on the path to a green future

  • Modern collaborative office: with a subsidized employee restaurant, open-plan office concept and views of the Elbe River and the harbour

Here’s what you can look forward to:

As Treasury Manager (m/f/d) Liquidity, FX and Working Capital Optimization, you are an important interface between the Business – Treasury and Accounting and play a key role in strengthening liquidity efficiency and cash flow transparency across our business. Within the Treasury Team, you actively contribute to the optimization of working capital structures in a highly dynamic energy trading environment.

In your role, you combine financial expertise with commercial understanding and work closely with operational teams to improve cash flow predictability, optimize collateral usage, and increase process transparency. You challenge existing ways of working, drive automation initiatives, and support the business in making financially efficient decisions across the trading lifecycle.

Your tasks in a nutshell:

  • Optimize working capital: You establish and further develop working capital management structures and identify optimization opportunities across receivables, payables, inventories, and collateral processes.

  • Manage liquidity & collateral: You oversee collateral usage across exchanges and bilateral agreements and support the optimization of liquidity and funding costs.

  • Forecast cash flows: You prepare short- and medium-term working capital and cash flow forecasts and analyze liquidity impacts under different market scenarios.

  • Forecast cash flows & FX exposure: You prepare short- and medium-term working capital and cash flow forecasts, analyse liquidity impacts under different market scenarios, and assess Group-wide foreign currency exposures to support effective liquidity and risk management.

  • Drive transparency: You implement KPIs, dashboards, and reporting structures to improve visibility and performance tracking across the business.

  • Improve processes: You drive automation and digitalization initiatives to increase efficiency, transparency, and scalability of treasury and working capital processes.

  • Partner with stakeholders: You collaborate closely with Sales, Trading, the Treasury-Colleagues, Risk, Accounting, and IT teams and support commercial decision-making with a strong focus on cash flow efficiency.

What helps you to fulfil this role:

  • Professional experience: Several years of experience in Finance, Treasury, Working Capital Management, or comparable functions within energy trading, commodities, or similarly complex environments.

  • Industry knowledge: Strong understanding of trading lifecycles, collateral management, liquidity drivers, and working capital structures within commercial businesses.

  • Financial expertise: Experience in cash flow forecasting, financial modelling, and liquidity planning.

  • Systems affinity: Familiarity with ETRM, Treasury Management System and ERP systems as well as strong Excel and data analytics skills; experience with BI tools is an advantage (Databricks and Power BI).

  • Analytical capabilities: Strong analytical and problem-solving skills combined with a structured and data-driven approach.

  • Languages: Fluent German and English skills.

With these characteristics, you fit perfectly with us:

  • Ownership mindset: You take responsibility for your topics, proactively challenge existing processes, and drive improvements forward independently.

  • Strategic thinking: You understand the commercial impact of financial decisions and translate complex topics into actionable recommendations.

  • Stakeholder management: You collaborate confidently across functions and influence stakeholders in a constructive and solution-oriented way.

  • Hands-on mentality: You enjoy working in a fast-paced and volatile environment and maintain clarity and structure even under pressure.

Even if you do not fulfil all of the above requirements, we encourage you to apply if you believe your experience will add value to our team.

You feel this could be a match?

We look forward to receiving your application, including your salary expectations and earliest possible starting date via the application form on our website. If you have any questions, please contact our Talent Acquisition Team at the following email address: recruiting@mbenergy.com

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Learn more about our mission, vision and values: MB Energy - Our purpose, mission, vision & values

MB Energy

About MB Energy

MB Energy, founded in 1947 and headquartered in Hamburg, is an independent, integrated energy company with operations across Europe, the United States, and Singapore. The company engages in the import, storage, distribution, and marketing of petroleum products, LPG, chemicals, and biofuels. With decades of industry experience and forward-looking approach, MB Energy plays an active role in the global energy landscape and supports the transition to lower emissions fuels through the development and provision of future-oriented alternatives.

Impressum/Content Provider: https://www.mbenergy.com/global/en/content-provider

Data Protection/Privacy Policy for our social media pages: https://www.mbenergy.com/global/en/data-protection/privacy-policy-for-social-media

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Industry
Energy & Utilities
Company Size
201-500 employees
Headquarters
Hamburg, DE
Year Founded
1947
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