Job Description

As our Senior Treasury Analyst , you’ll play a key role in managing Danfoss’s cash, liquidity, and financial risk—ensuring our operations run smoothly and sustainably.Your impact? You’ll provide strategic and analytical support to optimise treasury processes, safeguard financial resources, and enable informed decision-making. Your work will directly contribute to operational continuity, compliance with global standards, and the efficient use of financial assets.You’ll collaborate with global and local stakeholders, financial institutions, and cross-functional teams in a dynamic, multicultural, and results-driven environment.

What You’ll Be Doing

Manage daily, weekly, and monthly cash flow to ensure liquidity and operational efficiency.

Execute and control financial operations, including investments, financing, FX, and derivatives.

Develop and present analytical reports to provide cash management visibil...

Apply for this Position

Ready to join Danfoss GmbH? Click the button below to submit your application.

Submit Application