1h ago
Principal, Financial Risk and Treasury
Germany
full-timelead RemoteHospitality technology
Tech Stack
Description
You will own FX risk management, liquidity planning, and regulatory capital forecasting, turning complex analysis into clear narratives for senior management. This high-impact role drives financial risk strategy as Mews scales globally and builds out its FinTech capabilities.
Requirements
- 10+ years in treasury, financial risk, capital management, or corporate finance.
- Proven hands-on ownership of FX risk, cash flow forecasting, or liquidity management.
- Strong grasp of financial principles (accounting, forecasting, modelling, valuation, risk analytics).
- Excellent Excel skills; experience with SQL/Databricks or similar is a plus.
- Experience in a bank, fintech, or high-growth international SaaS environment ideal.
Responsibilities
- Own group-wide FX risk management and hedging, from exposure identification to strategy execution.
- Build and improve 12+ month cash flow and liquidity forecasts connecting to funding decisions.
- Lead regulatory capital forecasting and contribute to capital and liquidity policy framework.
- Run financial risk analytics and stress testing across FX, interest rate, liquidity, and counterparty risk.
- Partner with Finance, Payments, Legal, and Compliance; manage banking relationships; prepare materials for senior leadership and Board.
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