New function in a rapidly growing global organization
At Muehlhan Wind Service we focus on our people, culture and wellbeing. We believe that to thrive in the work that we do, we need to have a strong team behind us.
You now have the chance to be a part of a strong, passionate team working towards making green energy more accessibly across the world.
Muehlhan Wind Service is one of the fastest growing service and installation companies in the industry and have offices across Europe, the UK, Australia, East Asia, the USA, and Canada.
Therefore, we are establishing a new Treasury function to ensure effective management of the Wind Group’s liquidity, foreign exchange, cash forecasting, banking relationships and other treasury operations. This role supports the Wind Group’s financial performance by optimizing the Working Capital, measuring and reducing financial risks, ensuring compliance with treasury policies, and enabling scalable processes aligned with the Wind Group’s global operations and growth agenda.
The role has global responsibility across both the legacy Muehlhan Wind Service entities and acquired M&A companies. You will work with cash and liquidity management in close collaboration with internal and external stakeholders.
As Treasury Specialist, you will work from our head office in Fredericia, where you will be part of the Finance team reporting directly to the CFO.
Responsibilities
Cash & Liquidity Management and optimization
Monitor daily cash positions across Group entities and bank accounts
Manage intercompany funding and cash pooling activities
Support the development and operation of cash forecasting models
Monitor, analyze, and actively manage working capital components, including receivables and payables
Foreign Exchange & Financial Risk
Monitor currency exposures and propose hedging strategies
Execute FX trades in accordance with Wind Group treasury policy
Produce exposure reports and scenario analysis supporting business decisions
Credit Facilities
Maintain accurate register of facilities, utilization and costs
Monitor program KPIs, fees, dilutions and credit insurance topics
Assist in expanding programs to new jurisdictions and customers
Treasury Operations & Controls
Maintain treasury master data, processes and documentation
Support month-end and year-end closing processes
Ensure compliance with treasury policies, internal controls, and audit requirements
The role involves working with financial data from different internal and external sources, ensuring data quality, consistency, and transparency across treasury related activities.
A key part of the role is the ability to combine and structure data, identify patterns and risks, and transform raw information into meaningful analyses and clear insights. And to communicate results effectively through structured reporting and professional presentations.
Competencies
Being successful in this role requires
Master’s degree in Finance, Accounting, Economics or related field
2+ years of experience in Treasury, Corporate Finance, Banking or similar is an advantage
Experience from international / multi-currency environments is preferred
Experience with cash forecasting, banking platforms and treasury processes is an advantage
Experience working with large datasets and reconciling information from different systems
Ability to design meaningful dashboards and decision-support material for management and key stakeholders
Experience with ERP systems (preferably Microsoft Business Central) and being competent in financial modelling (Excel)
Fluent in English (spoken and written)
The role requires strong analytical capabilities, a data driven mindset, and the ability to work autonomously while collaborating closely with senior colleagues for guidance, alignment, and escalation when needed.
You have strong stakeholder management and communication skills and can navigate complexity in a fast-growing international environment.
We are looking for a self-driven professional who can build, structure, and operate treasury related activities with a high degree of independence.
You have a high integrity, confidentiality and risk-awareness, as well as being proactive, solution-oriented and comfortable with change.
The company offers
Opportunities for professional development and career growth
Collaborative and inclusive work environment
Work-life balance initiatives
Your salary will reflect your qualifications and experience
Staff benefits include pension and health insurance, lunch plan, telephone, computer and internet
Further information/inquiry
If you want to know more about the position, you are welcome to contact Aksel Uglvig Jensen, Skelmose, on tel. 40 84 01 33. CV or LinkedIn profile can be sent to Aksel Uglvig Jensen via auj@skelmose.eu.
Inquiries will be processed on an ongoing basis.
Accession: As soon as possible.
About Muehlhan Wind Service
Muehlhan Wind Service (MWS) is a world-leading, full-scope independent service provider, specializing in wind turbine installation and Operations & Maintenance solutions for Tier 1 global wind energy clients.
MWS, headquartered in Fredericia, Denmark, is part of the Muehlhan Group, which is based in Hamburg, Germany. MWS is one of two main business divisions (1. Wind Service & 2. Industrial Service). The two divisions operate independently under the Muehlhan umbrella. The group is owned by a U.S.-based private equity firm.
In just eight years, MWS has evolved into a global market leader with annual revenues exceeding DKK 2.5 billion and strong margins.
With approximately 20 offices across Europe, the UK, Australia, East Asia, the USA, and Canada, we manage projects in more than 35 countries worldwide.
Driven by a passion for wind energy and a commitment to delivering exceptional results, our teams execute projects of all sizes across more than 12 specialized business units, including Offshore Installations, Onshore Installations, High-Voltage & Electrical Services, Blade Inspections & Repairs, Service & Statutory Inspections, Paint & Corrosion Control, Main Component Exchange, Special Projects, Manpower Solutions, Welding Repairs, Oil Exchange, and more.
Our success is powered by motivated, skilled, and open-minded people who share a strong passion for renewable energy and thrive in a dynamic, international environment.
For more information, please visit our website: www.muehlhan.com
| Firma | Skelmose ApS Følg |
| Kontaktperson | Aksel Uglvig Jensen |
| Arbejdsadresse | Porsholtparken |
| Postnr.: | 6740 |
| Kommune | Fredericia |
| Telefonnr. | 40840133 |
| auj@skelmose.eu | |
| Ansøgningsfrist | 03/06/2026 |