At Landis+Gyr, we don’t just manage energy — we lead the transformation toward a smarter and more sustainable energy future.With anet revenue of USD 1.73 billion in FY 2024, and a presence in over 30 countries across five continents, we empower utilities and consumers to optimise energy usage through advanced metering, grid-edge intelligence, and powerful data analytics.Our teams are shaping the digital energy era by developing innovative technologies that drive decarbonisation, grid modernisation, and real‑time energy insights. Join us at Landis+Gyr, where we manage energy better!
This role is part ofLandis+Gyr’s EMEA(Europe, Middle East & Africa) business, which is expected to become anindependent company under new ownershipby mid‑2026, subject to customary regulatory approvals. Joining now means contributing to an exciting phase of transformation — helping shape the future organisation while remaining connected to Landis+Gyr’s global values and standards throughout the transition.
We are looking for an experienced and hands‑on Treasury Manager to strengthen our EMEA Treasury team. Reporting to the Head of EMEA Treasury & Insurance, this role plays a key part in ensuring efficient liquidity management, robust financial risk management, and continuous improvement of treasury processes across the Group.
Liquidity & Cash Management
* Manage Group and subsidiary liquidity, ensuring optimal short- to mid‑term funding across multiple currencies
* Oversee utilisation of external loans, intercompany loans, overdrafts, investments, and cash pooling structures
* Improve cash forecast accuracy and efficiency across EMEA entities and monitor cash flow against targets
Financial Risk Management
* Analyse and manage foreign exchange and interest rate exposures across the Group
* Execute and monitor hedging strategies (cash flow hedges, balance sheet hedges, net investment hedges)
* Support business units in identifying and mitigating FX risks
Intercompany & Treasury Operations
* Manage the Group’s intercompany loan portfolio in close coordination with Tax, Legal, and Finance stakeholders
* Maintain and optimise the global bank structure, including host‑to‑host connectivity and e‑banking solutions
* Negotiate banking terms and conditions and monitor bank fees
Trade Finance & Systems
* Centrally manage guarantees, bonds, and letters of credit; advise business units on trade finance topics
* Drive automation and optimisation of treasury processes and systems
* Act as key contact for Treasury Management Systems and technical treasury topics
* Support and back up the Treasury Analyst in cash management and intercompany interest calculations
* Participate in and lead treasury‑related projects
* Contribute to treasury policies, internal controls, and management reporting
Profile
* University degree in Finance, Banking, or a related field; professional certifications such as Swiss Certified Treasury, CFA, or similar are a plus
* Demonstrate extensive professional experience, including significant experience in Corporate Treasury (FX & Cash Management) within an international organisation
* Strong expertise in cash management, cash pooling, FX hedging, and treasury operations
* Solid experience with Treasury Management Systems and advanced Excel skills
* Knowledge of intercompany funding structures, credit facilities, and trade finance instruments
* Understanding of hedge accounting (US GAAP knowledge is an advantage)
* Structured, analytical, and solution‑oriented mindset with a hands‑on approach
* Excellent communication skills and ability to work across functions and regions
* Fluent in English (written and spoken); German is an advantage
We value and encourage diversity in our team. This position is open to all qualified candidates regardless of gender, race, age, disability, sexual orientation, or background.
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