Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing)

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📍 Barcelona, ESFULL TIME

About this role

Overview

Magnera's purpose is to better the world with new possibilities made real. For more than 160 years, the originating companies have delivered the material solutions their partners need to thrive. Through economic upheaval, global pandemics and changing end-user needs, they have consistently found ways to solve problems and exceed expectations. By bringing together these legacy companies, the distinct scale and comprehensive portfolio of products will bring customers more materials and choices. With a combined legacy of resilience, Magnera will build personal partnerships that withstand an ever-changing world.

 

The Treasury Cash Manager is responsible for centralizing, optimizing, and safeguarding the group’s cash position across multiple European entities and manufacturing sites. A critical aspect of the role is maintaining ongoing, close dialogue with Finance Leads across entities to ensure high-quality, reliable cash flow forecasts, enabling effective liquidity planning and decision-making.

Responsibilities

Cash Forecasting & Finance Alignment (Core Focus)• Maintain continuous, proactive dialogue with Finance Leads and plant controllers across entities• Challenge, refine, and improve cash flow forecasts to ensure accuracy and reliability• Drive accountability and consistency in forecasting methodologies• Translate operational insights into actionable liquidity plans• Identify risks, gaps, and opportunities early through regular forecast reviews Cash & Liquidity Management• Oversee daily cash positioning across multiple bank accounts and countries• Ensure sufficient liquidity for manufacturing plants and operating entities• Manage FX exposure by monitoring currency positions and coordinating hedging actions to mitigate risk across EMEIA entities.• Optimize use of in-house cash, intercompany funding etc  Bank Account & Payment Oversight• Monitor and manage bank accounts, signatories, and banking structures• Ensure timely execution of non-trade payments eg dividend, IC loans etc. • Support centralized or standardized payment processes• Support efficient allocation of liquidity across countries• Operate within existing cash pooling structures Treasury Operations & Controls• Ensure compliance with treasury policies and internal controls• Manage operational risks including fraud prevention and banking access governance• Support audits, bank KYC processes, and SOX requirements, ensuring proper documentation and effective internal controls are maintained. Banking Relationships (Operational Layer)• Act as a key operational contact for banks• Support treasury systems, connectivity, and process improvements Stakeholder Coordination• Act as the key link between Finance teams, manufacturing sites, and Treasury• Provide clear visibility and insights to the Treasury Director EMEIA Build trustworthy cash forecasts through strong, ongoing engagement with Finance Leads, ensuring optimal liquidity decisions and smooth funding of operations across European entities. Additional Responsibilities• Support treasury-related projects and departmental initiatives as required

 

Qualifications

Fluent in English

• Proven Treasury experience is required, with preference for candidates holding (or working towards) ACT certifications (e.g., ACT Certificate or ACT Fundamentals), or equivalent, and a strong academic background in Finance, Accounting, Economics, or a related field. • Strong understanding of cash management, liquidity, and treasury operations • Experience in multi-entity, multi-currency environments (EMEIA preferred) • Good knowledge of banking structures, payments, cash pooling and financial instruments (FX, funding, trade finance) • Ability to collaborate effectively with Finance Leads and cross-functional stakeholders • Familiarity with treasury systems, internal controls, and compliance requirements

Must be fluent in English

Frequently Asked Questions

Is the salary disclosed for the Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing) position at magnera?
The salary for this Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing) role at magnera is not publicly listed. Click "Apply Now" to learn more about the compensation package on their official careers page.
Where is the Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing) position at magnera located?
This Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing) role at magnera is based in Barcelona, ES. The position is listed as on-site or hybrid. Check the full job description or apply directly to confirm the work arrangement.
Is the Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing) role at magnera full-time or part-time?
This is listed as a FULL TIME position. It is posted as a Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing) role at magnera.
How do I apply for the Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing) position at magnera?
Click the "Apply Now" button on this page. You will be redirected to magnera's official application portal hosted on icims where you can submit your application directly.
When was the Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing) job at magnera posted?
This Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing) position at magnera was posted on Jun 9, 2026. Apply as soon as possible — early applications are often reviewed first.
Treasury Cash Manager, EMEIA (Multi-Entity / Manufacturing)
magnera
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