Group Treasury Manager (all genders)

MGI Corporate GmbH

Job Description

MGI – Media and Games Invest SE (MGI) operates a fast-growing, profitable ad-software platform that matches global advertiser demand with publisher ad-supply while improving results through first party data from own games. MGI's main operational presence is in North America and Europe. Through investments in organic growth and innovation, as well as targeted M&A, MGI has built a one-stop shop for programmatic advertising, enabling companies to buy and sell ad space across all digital devices (mobile apps, web, connected TV and digital out of home), with the mission to make advertising better. MGI is registered as Societas Europaea in Sweden (registration number 517100-0143) and its shares are listed on Nasdaq First North Premier Growth Market in Stockholm and in the Scale segment of the Frankfurt Stock Exchange. The Company has two secured bonds that are listed on Nasdaq Stockholm and on the Frankfurt Stock Exchange Open Market.


  • Short and medium-term liquidity planning as well as further development of cash-flow planning approaches
  • Monitoring and optimization of cash management including payment transactions and administration of bank accounts of the group
  • Contact person for our operational entities worldwide as well as for banks, financial service providers and auditors
  • Support in the month-end and annual financial closing process
  • Analysis of interest rate and currency risks and development of appropriate proposals to minimize these risks
  • Coordination of treasury issues with regional and local teams within the group
  • Contribution to treasury reporting for the group consisting of preparation and analysis of actual data as well as short- and long-term liquidity planning
  • Project management for automation, digitalization and further development of treasury process improvements
  • Handling of internal financial relationships such as loans, etc.
  • Participation in the issuance and management of external financing such as bonds on the capital market, currency hedging instruments, etc.
  • Contact person for banks and financial institutions

  • Degree in economics with a focus on banking or as a bank clerk (all genders)
  • Several years of professional experience in the area of treasury or banking and especially cash management
  • Profound knowledge of MS Office (especially Excel), and ideally treasury management software (especially UCI Prime)Very good Excel skills and ideally UCI Prime or similar tools
  • Interested in being part of an international capital market-oriented group of companies
  • Very good knowledge of German and English, both spoken and written
  • You have a „Hands-on“-Mentality and an ability to quickly absorb new information, analytical thinking and very good communication skills


  • Multiple company benefits to choose from, in a Cafeteria system, that match your personal lifestyle: subsidization of the public transportation card/bike lease/internet bill/gym subscriptions/Hellofresh/Etepetete and many more!
  • Flexible work times with the possibility to work from home. You earned it!
  • A very international team of like-minded colleagues from over 30 nations!
  • Learn German or improve your English with our online German/English classes!
  • Regular company parties and team events. The fun never stops!
  • Great opportunities and a challenging job with lots of responsibility and freedom to grow professionally in a fun and lively work environment. Satisfaction guaranteed!
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