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(Senior) Coordinator (m/f/d) Cash Management & Treasury

Open 58d

As part of the Hapag-Lloyd Treasury & Finance team in Hamburg, you will strengthen our Cash Management team and prepare the migration of our global and central incoming and outgoing payment transactions in SAP R/3 to S/4 HANA.

  • You will be involved in the administration of the systems used, implementing new companies and bank accounts
  • Together with the SAP IT team, you will develop and manage these tools and keep our payment systems up and running
  • During the planned S/4 HANA migration, you will support new projects such as the introduction of alternative payment solutions for our global customers
  • Support and assisteance for the further expansion of our global payment processes and the implementation of upcoming, new payment requirements
  • You have already gained initial experience in the treasury or finance area of a company or in a bank
  • You have completed a degree in (business) informatics, economics or a comparable qualification
  • You have strong process thinking, strong communication skills and an empathetic demeanor
  • You enjoy working in a dynamic environment with diverse and challenging tasks
  • You have strong analytical skills and, above all, enjoy actively supporting and driving forward further developments
  • You have a good command of written and spoken English
  • You are experienced in using MS Office products and may have already gained initial experience with SAP

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