Treasury Analyst (m/f/d)

nttglobaldatacenters· NTT Global Data Centers EMEA GmbH
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📍 Frankfurt, GermanyFull time

About this role

Make an impact at NTT Global Data Centers

Join NTT Global Data Centers and be part of a team that drives innovation and sustainability in the digital world. With over 150 data centers across more than 20 countries globally, we offer unparalleled opportunities to work on cutting-edge technology and transformative projects. Experience a collaborative, innovative, and inclusive workplace where your ideas are valued, and your growth is supported.

Your role at a glance

The Treasury Analyst is a seasoned subject matter expert, responsible for working within the broader Finance team and is responsible for analyzing and interpreting financial data.

This role typically works with a variety of different types of information, including but not limited to accounting records, market indicators, economic reports and more, and uses this information to make predictions about future events or trends.
This role may also be tasked with presenting their findings in an easy-to-understand format that can be easily communicated to other business stakeholders.

What we are looking for

KEY RESPONSIBILITIES

Cash Flow & Liquidity Management

  • Preparation and monitoring of rolling cash flow forecasts (minimum 6 months), including key financial KPIs such as Debt-to-Equity Ratio, Quick Ratio, and other liquidity metrics.
  • Ensuring adequate funding availability for operational requirements, capital expenditure, and debt servicing obligations.
  • Continuous monitoring and analysis of cash positions and liquidity requirements across all entities.
  • Preparation of 18-month cash flow forecasts for entities requiring Letters of Support.
  • Funding of local bank accounts through the In-House Bank (IHB) in coordination with the Accounts Payable team.
  • Management of intercompany balances and liabilities/receivables arising from cash pooling arrangements.

Funding, Debt & Capital Management

  • Understanding and management of intercompany funding, bank borrowings, and related financing arrangements.
  • Preparation and submission of loan applications, including supporting documentation, cash flow forecasts, coordination of legal reviews, and obtaining corporate and board approvals.
  • Preparation and execution of equity funding requests.
  • Leading discussions and negotiations with Japan headquarters regarding funding requirements, including multiple rounds of funding reviews and approvals.
  • Prioritization and allocation of equity funding requirements across various group entities.
  • Timely processing of manual treasury transactions, including interest payments, loan repayments, and Joint Venture-related payments.
  • Management of profit distributions within GDC EMEA entities.

Banking & Treasury Operations

  • Managing relationships with banking partners and serving as the primary point of contact for all operational banking matters, including facilities, limits, significant payments, and sweep arrangements (MT101).
  • Opening new bank accounts and coordinating all associated KYC and compliance activities.
  • Supporting treasury-related operational requirements, including corporate credit card onboarding, limit revisions, invoice management, and other ad hoc requests.
  • Ongoing collaboration with IT teams on treasury initiatives, including cash pool connectivity and banking platform-related matters.
  • Execution and coordination of extraordinary treasury transactions, including acquisition-related fund transfers.

Governance, Compliance & Audit

  • Ensuring compliance with J-SOX requirements, including bank reconciliations, bank authorization reviews, and user access controls.
  • Supporting internal, external, and statutory audits related to treasury activities.
  • Maintaining robust treasury controls and ensuring compliance with internal policies and governance frameworks.

Stakeholder Management & Strategic Support

  • Acting as the key liaison between Group Treasury and the EMEA region on matters related to liquidity management, cash flow forecasting, and MUFG cash pool operations.
  • Responding to financial and operational inquiries from business stakeholders regarding company performance and market trends.
  • Evaluating investment proposals and funding opportunities to determine alignment with organizational objectives.
  • Conducting research to identify investment opportunities, financial risks, and emerging market developments.
  • Recommending process improvements and supporting the development and implementation of treasury, accounting, and financial policies.

Who we are

As the third largest data center provider, we operate over 150 data centers in more than 20 countries and regions. We understand that every business – large and small – has its own unique needs and goals. We offer local-to-global data center expertise, aligned with our connected platform of AI-ready data centers to create solutions that enable our clients to seamlessly scale their digital businesses, anywhere and anytime.

Frequently Asked Questions

Is the salary disclosed for the Treasury Analyst (m/f/d) position at nttglobaldatacenters?
The salary for this Treasury Analyst (m/f/d) role at nttglobaldatacenters is not publicly listed. Click "Apply Now" to learn more about the compensation package on their official careers page.
Where is the Treasury Analyst (m/f/d) position at nttglobaldatacenters located?
This Treasury Analyst (m/f/d) role at nttglobaldatacenters is based in Frankfurt, Germany. 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 Analyst (m/f/d) role at nttglobaldatacenters full-time or part-time?
This is listed as a Full time position. It is posted as a Treasury Analyst (m/f/d) role in the NTT Global Data Centers EMEA GmbH department at nttglobaldatacenters.
Which team or department does the Treasury Analyst (m/f/d) at nttglobaldatacenters belong to?
This Treasury Analyst (m/f/d) position is part of the NTT Global Data Centers EMEA GmbH department at nttglobaldatacenters. See the full job description for more information about the team structure and responsibilities.
How do I apply for the Treasury Analyst (m/f/d) position at nttglobaldatacenters?
Click the "Apply Now" button on this page. You will be redirected to nttglobaldatacenters's official application portal hosted on workday where you can submit your application directly.
When was the Treasury Analyst (m/f/d) job at nttglobaldatacenters posted?
This Treasury Analyst (m/f/d) position at nttglobaldatacenters was posted on Sep 29, 2026. Apply as soon as possible — early applications are often reviewed first.
Treasury Analyst (m/f/d)
nttglobaldatacenters
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