Cash & Liquidity Manager

Permanent Employee
full-time
Remote Work Germany
pink and purple blur

Your mission

As Manager of Cash & Liquidity Management, with focus on Cash-In & Revenue Protection, you will take ownership of IONITY’s end-to-end cash-in governance, focusing on receivables transparency, cash collection performance, payment governance, and revenue protection. 

The role is designed to strengthen financial control and governance across the full revenue-to-cash process by improving cash conversion, reducing write-offs and leakage, increasing transparency on receivables and settlements, and strengthening operational and financial controls. 

You will act as the central Finance owner for all topics related to: 
  • Accounts Receivable governance 
  • DSO and cash collection performance 
  • Revenue write-offs and bad debt reduction 
  • Fraud and chargeback monitoring 
  • Settlement transparency and payment governance 
The role combines operational execution with strategic finance steering and close collaboration across Treasury, Accounting, Product & Growth, Operations, IT, and external payment service providers. 
 
Your Responsibilities 

Cash-In & Accounts Receivable Governance 
  • Own and continuously improve IONITY’s Accounts Receivable governance framework 
  • Monitor and steer DSO, overdue receivables, and cash collection performance 
  • Analyze AR aging structures and identify improvement opportunities 
  • Define escalation routines and support credit exposure monitoring 
  • Drive initiatives to improve cash realization and reduce overdue receivables 
  • Establish recurring KPI reporting and transparency around cash-in performance

Revenue Protection & Financial Risk Management 
  • Reduce revenue write-offs and improve bad debt management 
  • Monitor fraud, chargeback, refund, and payment leakage trends 
  • Strengthen internal controls around revenue-to-cash processes 
  • Identify operational and financial risk exposures and drive mitigation actions 
  • Support audit readiness and compliance requirements related to payment flows 
 
Cash Forecast & Liquidity Alignment 
  • Collaborate closely with Treasury and Controlling to improve cash inflow forecasting 
  • Support rolling cash forecast processes with improved cash collection visibility 
  • Improve transparency on operational cash drivers and cash conversion trends 
  • Support liquidity planning through enhanced cash-in predictability 
 
Stakeholder & Cross-Functional Collaboration 
  • Collaborate closely with Accounting, Treasury, Controlling, Product & Growth, IT, Operations, and external partners 
  • Support strategic finance transformation initiatives and scalability projects 
  • Contribute to the professionalization of IONITY’s Finance governance framework 

Your profile

Qualifications & Experience 
  • Master’s degree in Finance, Economics, Business Administration, or a related field 
  • 5+ years of experience in Corporate Finance, Treasury, Accounts Receivable, Payment Operations, Audit, or related finance functions 
  • Strong understanding of: 
    • Accounts Receivable processes 
    • Cash collection and DSO steering 
    • Payment flows and reconciliation processes 
    • Financial controls and governance 
  • Experience working in high-growth, international, or transaction-heavy environments is a plus 
  • Experience with ERP systems (SAP 4/HANA Public cloud is a plus), payment providers, and/or Treasury Management Systems is beneficial 

Skills & Competencies 
  • Strong analytical and data-driven mindset 
  • High ownership mentality and strong attention to detail 
  • Ability to translate operational topics intofinancial impactand risk implications 
  • Strong stakeholder management and cross-functional collaboration capabilities 
  • Structured and solution-oriented working style 
  • Ability tooperateindependently in a fast-paced and evolving environment 
  • Continuous improvement mindset with strong execution capabilities 

Why Join IONITY 
  • Be part of one of Europe’s fastest-growing e-mobility companies 
  • Take ownership of a strategically important Finance governance function 
  • Contribute directly to EBITDA protection, cash conversion, and financial scalability 
  • Work in an entrepreneurial and international environment with high visibility 
  • Shape and professionalize the future Finance organization of IONITY 
#LI-Remote

Din ansökan

Tack för ditt intresse för IONITY. För att slutföra din ansökan behöver vi lite mer information - vänligen fyll i formuläret. Om du har några problem med att ladda upp dina uppgifter, vänligen skicka oss ett e-postmeddelande till jobs@ionity.eu. Vi ser fram emot att få lära känna dig!

Klicka på ”Skicka in din ansökan”" nedan för att skicka dina personuppgifter till vårt rekryteringsverktyg, där de kommer att behandlas som en del av ansökningsprocessen. Vi behöver ditt samtycke för att behandla dessa uppgifter. Läs noggrant igenom vår integritetspolicy för sökande. Om du har några frågor eller funderingar kan du kontakta vårt dataskyddsombud via e-post på datenschutz@ionity.eu.

Ladda upp ditt personliga brev, CV och referenser.
Inga filer valda
Inga filer valda
Du kan välja flera dokument samtidigt. (max. 20 MB totalt))

Det är nödvändigt att samla in och behandla personuppgifter för ansökningsprocessen. Du kan hitta mer information i vår integritetspolicy.

Why us?

IONITY är ett joint venture mellan biltillverkarna BMW Group, Ford Motor Company, Hyundai Motor Group, Kia, Mercedes-Benz AG och Volkswagen Group med Audi och Porsche samt BlackRock Climate Infrastructure Platform som finansiell investerare.

Om du är fascinerad av elektromobilitet och vill bli en del av ett internationellt team, ansök nu - vi ser fram emot att ta emot din ansökan!