HYROX is a global sports event series that combines running and functional fitness training in a unique race format.
Founded in Germany in 2017, HYROX has evolved into a worldwide fitness movement with events across five continents, attracting millions of athletes every season.
To support our rapid international scaling and place our global cash flows, banking relationships, and multi-currency transactions on a robust foundation, we are seeking a hands-on Treasury Manager Cash & Liquidity Management (m/f/d) to join our Finance leadership team at our global HQ in Hamburg.
Reporting directly to the Chief Financial Officer (CFO), you will build our global treasury architecture from scratch - optimizing liquidity, mitigating FX risks, and automating international payment systems across all entities.
If you excel at turning complex corporate finance structures into efficient, scalable processes and want to directly safeguard our global expansion, apply now - we look forward to getting to know you! YOUR KEY.
Payment Systems & Governance: Design and implement centralized payment architecture (TMS, Payment Factory, ERP/Dynamics 365 integration), establishing strict governance, dual-control workflows, and security standards for global transactions.
Liquidity Management & Cash Pooling: Oversee global cash positioning to guarantee multi-currency liquidity for international events, while preparing and executing regional and global cash pooling structures.
FX Risk Management & Hedging: Identify foreign exchange (FX) exposures across international event revenues and expenses, developing and executing tailored hedging strategies to mitigate currency volatility (USD, GBP, EUR, AED, etc.
Rolling Forecasts & CFO Sparring: Partner closely with Group Cont.