Risk Manager Corporate Finance (m/f/d) (Fachwirt/in - Versicherung)

Giesecke+DevrientMünchenEURESpublished 09/09/2026
Must-have:SAPSecurityRemote
Machine translation — original language: German.Show original

Trust in the digital age! At G+D, we create trust through integrated security technologies in three business areas: Digital Security, Financial Platforms, and Currency Technology. For our customers, we have been a reliable partner for 170 years. With our offering, we are perfectly positioned to accompany you on your way into the future. Discover our innovative solutions for SecurityTech! For our Corporate Finance & Insurance division, we are looking for a Risk Manager Corporate Finance (m/f/d) starting immediately.

Your tasks:

  • Identification and quantification of foreign currency and interest rate risks, as well as the development of control logics and strategies in currency, interest rate, and credit risk management
  • Processing and valuation of money market, foreign exchange, and interest rate hedging transactions
  • Participation in the implementation and further development of internal risk management and reporting
  • Conclusion of external and internal hedging transactions for group companies
  • Analysis / support of foreign subsidiaries in currency management and hedging issues
  • Documentation of hedging transactions according to IFRS/HGB
  • Valuation of financial and interest rate derivatives
  • Accounting of financial instruments
  • Creation of booking files
  • Advising operational areas / subsidiaries on risk issues
  • Fulfillment of regulatory requirements (including EMIR, risk reports, notes for the annual report)
  • Project financing: participation in financing and operational projects
  • System administration and expansion of the financial management system as well as other technical systems (including 360-t,) and maintaining contact with software suppliers
  • Implementation of system expansions
  • Data maintenance in the system
  • Contract management

Your profile:

  • Degree in economics, business mathematics, business informatics, or a comparable degree
  • At least three to five years of professional experience in the field of risk management / treasury of a bank, a consulting company, or an internationally active industrial company
  • In-depth knowledge in currency management
  • Good knowledge of common accounting standards, especially IFRS and HGB, and confident handling of various issues regarding hedge accounting
  • Experience in using SAP as well as very good Excel skills
  • Fluent English skills in speaking and writing
  • Structured and analytical way of working
  • Very good communication skills, a confident appearance towards internal and external contacts, as well as initiative round off your profile

Your benefit:

  • A wide range of training and further education opportunities
  • Flexible working hours, home office, and 30 days of vacation per year
  • A company pension scheme as part of the attractive compensation package
  • Attractive family benefits, including summer holiday activities for children of G+D employees
  • Working in an internationally active family business with shared values

Additional information: Home office: Scope: By arrangement Requirements for the applicant: Advanced knowledge: Cost and performance accounting Expert knowledge: Risk management, risk controlling

Contact person

Listed by the employer in the job posting — for questions and your application.

  • Claudia Laub