CERTANIA ist eine führende europäische TIC-Plattform (Testing, Inspection, Certification), die spezialisierte, wachstumsstarke Unternehmen in attraktiven Nischenmärkten unter einem gemeinsamen Dach vereint. Ziel ist der Aufbau des ersten wirklich paneuropäischen TIC-Aggregators – mit starker lokaler Verankerung, operativer Exzellenz und einer gemeinsamen Wachstumsarchitektur.
Wir investieren in Qualitätsführer, professionalisieren Strukturen und schaffen durch Integration und Performance-Steigerung nachhaltigen Wertzuwachs.
You will work in day-to-day operations directly at the interface between the holding company and portfolio companies, taking on early responsibility for cash management and intercompany financing.
You will actively support acquisition and refinancing projects in a private equity environment and gain first-hand exposure to financing structures, covenants, and compliance processes.
Contribution to the further development of liquidity planning and reporting processes at CERTANIA holding and group level.
Support in the implementation and ongoing development of a Treasury Management System (TMS) to automate and standardize treasury processes.
Management and maintenance of existing bank relationships, as well as support with the opening and administration of bank accounts.
Preparation of analyses and decision-making materials for management in the areas of financing, working capital, and interest rate development.
Participation in group-wide treasury projects (e.g. introduction of new tools, process digitalization).
Successfully completed degree in business or economics, ideally with a focus on Corporate Finance, Treasury, or related fields (Bachelor’s or Master’s degree), or a comparable qualification with relevant professional experience.
Initial practical experience in the finance sector (e.g. internships or working student roles in treasury, corporate finance, or banking) is an advantage.
Strong interest in topics related to financing, liquidity management, and corporate control in a dynamic private equity environment.
Strong analytical skills, a structured working style, and solid numerical understanding.
Confident use of MS Excel and ideally initial experience with reporting or treasury systems.
High level of initiative, sense of responsibility, and ability to work well in a team.
Very good German and English skills, both written and spoken.
A steep learning curve from day one: you will quickly take ownership of your own topics and be closely coached by an experienced treasury team.
Clear development prospects within group treasury: gradual expansion of responsibilities up to independent project and portfolio company topics.
An environment that values personal responsibility and welcomes proactivity.
A meaningful role aligned with the company’s purpose: promoting sustainability and health.
A secure salary and 30 days of vacation.
An international working environment.
A modern workplace in the heart of Munich and a well-established home office culture.
Certania is a leading European TIC platform (Testing, Inspection, Certification) that unites specialized, high-growth companies in attractive niche markets under one roof.
The goal is to build the first truly pan-European TIC aggregator — combining strong local roots, operational excellence, and a shared growth architecture.
We invest in quality leaders, professionalize structures, and create sustainable value through integration and performance improvement.