
About the Voith Group
The Voith Group is a global technology company. With its broad portfolio of systems, products, services and digital applications, Voith sets standards in the markets of energy, paper, raw materials and transport & automotive. Founded in 1867, the company today has around 22,000 employees, sales of € 5.2 billion and locations in over 60 countries worldwide and is thus one of the larger family-owned companies in Europe.
Support the Voith Group | Group Division Corporate Functions & Services as a
Head of Investment & R&D Controlling (m/f/d)
Job ID 76909 | Location Heidenheim
As the Global Head of Resource Allocation, you will lead the Center of Excellence for strategic planning, evaluation and governance of global investments across capital expenditures, R&D and IT initiatives. You will ensure optimal allocation of financial and operational resources to maximize value creation and support long-term business objectives. This role combines strategic foresight with rigorous financial discipline and cross-functional leadership.
Your tasks
- Lead the global investment review process, including financial analysis, risk assessment and strategic alignment for Capex, R&D and IT projects.
- Drive the development and implementation of a global resource allocation framework, ensuring transparency, consistency and value-based prioritization.
- Oversee post-investment tracking and implementation monitoring, including KPI development and performance reviews.
- Act as a strategic partner to executive leadership, providing insights and recommendations on portfolio optimization and capital deployment.
- Manage cross-functional governance boards and investment committees.
- Ensure alignment of investment decisions with corporate strategy and financial targets.
- Functionally lead a global team of controllers working on investments proposals, fostering collaboration, global quality standards and capability development.
- Continuously improve tools, processes, and systems for investment planning and tracking (e.g., dashboards, scenario models, reporting standards).
Your Profile
- Master’s degree in Finance, Business Administration, Economics or a related field; MBA or CFA is a plus.
- 3+ years of experience in investment controlling, corporate finance, or strategic planning, ideally in a global matrix organization.
- Proven track record in evaluating and managing complex investment portfolios, including CAPEX, R&D, IT and innovation-driven projects.
- Strong leadership and stakeholder management skills across functions and geographies.
- Excellent analytical and strategic thinking capabilities.
- Proficiency in financial modeling, ERP systems (e.g., SAP) and BI tools (e.g., Power BI, Tableau).
- Fluent in English; additional languages are an advantage.