Treasury Specialist

Required Qualifications:

  • Bachelor's degree in Economics, Finance, Accounting, or a related field
  • 3–5+ years of experience in Treasury, Corporate Finance, or Banking
  • Strong knowledge of financial products, loan agreements, and banking procedures
  • Experience in cash flow forecasting and liquidity management
  • Advanced Excel skills and financial analysis capabilities
  • Excellent command of the English language (written and spoken)
  • Ability to manage multiple projects and deadlines simultaneously

Preferred Qualifications

  • Experience in a multinational environment
  • Postgraduate degree (MSc) in Finance or Treasury
  • Professional certifications (ACCA, CFA, ACT or equivalent) will be considered an additional asset

Responsibilities:

  • Daily monitoring and management of cash balances and bank accounts
  • Preparation of short-term and long-term cash flow forecasts
  • Management of banking relationships and coordination with financial institutions
  • Monitoring of loan agreements, covenants, and financing obligations
  • Management of bank guarantees, Letters of Credit (LCs), Standby Letters of Credit (SBLCs), and other banking products
  • Support for refinancing, new financing arrangements, and negotiation of banking terms
  • Monitoring of interest rates, financial risks, and cost of funding
  • Collaboration with Group subsidiaries on liquidity matters and treasury reporting
  • Participation in the preparation of reports for Management, Banks, and investors
  • Support for treasury transformation, ERP, and process automation projects

The company offers:

  • Excellent working environment
  • Continuous training & professional development
  • Medical care & life insurance
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