Head of Treasury & Corporate Finance (f/m/d)
Salzburg, AT, 5020
NovaTaste is a global leader in taste innovation, delivering tailored culinary solutions and memorable taste experiences. A broad portfolio of renowned brands across Europe and internationally brings together extensive expertise in spices, seasoning blends, marinades, functional ingredients and food cultures. Close to its customers and anchored in global expertise, NovaTaste develops tailored solutions for food manufacturers, wholesalers, butchers, gastronomy and food service operators. These solutions enhance taste, texture and shelf life while consistently addressing sustainability and functional requirements. The company operates 21 locations in Europe, North America and Asia and employs more than 2,400 people who serve over 12,000 customers worldwide.
Tasks
• Overall responsibility for all Treasury and Corporate Finance activities across the Group
• Management of liquidity, cash, and working capital, as well as financial risk management (including FX hedging, interest rate swaps, counterparty risk management, and hedge accounting)
• Planning, structuring, and execution of financing and refinancing initiatives, including bank relationship management and capital markets activities
• Management and continuous enhancement of factoring solutions
• Ownership of treasury-related topics in the areas of Insurance and Tax, in close collaboration with the respective business functions
• Management of relationships with banks, financial institutions, and other financing partners in cooperation with the shareholders/owners
• Implementation of a Treasury Management System (TMS)
• Preparation of analyses, management decision-support materials, Treasury Accounting, and Treasury Reporting
Skills
• University degree in Finance, Corporate Finance, Accounting, Business Administration, or a related field
• Minimum of 5–7 years of professional experience in Treasury and Corporate Finance within an international business environment (Private Equity background preferred but not required)
• Strong expertise in liquidity management, cash management, financing, and refinancing
• Experience with factoring structures and their management
• Practical knowledge of Treasury, Working Capital Management, Insurance, and Tax, including Transfer Pricing (must-have)
• Experience with Treasury Management Systems (TMS)
• Private Equity background or experience working in a PE-backed environment is considered an advantage
• Strong analytical skills combined with a structured, independent, and hands-on approach to work
• Excellent English language skills; German language skills are an advantage
Benefits
• Excellent lunch options at gourmet level in our company restaurant
• Attractive discounts on our products
• Professional, free support for mental health through our partner nilo.health
• Physiotherapy with a low co-payment, company doctor, and occupational pension scheme
• ClimateTicket Salzburg and company bike leasing
• Flexible working hours through an attractive flexitime model and home office options
• Flat organizational structure with a first-name culture and short decision-making paths
• A constructive and innovative working environment in a successful, internationally active Company
The minimum gross salary for this position is 3.930,48€ per month on a full-time basis. We offer a compensation package that significantly reflects your skills and experience.