On behalf of our client, we are seeking a Treasury Manager
About the Role
- A large industrial company operating in an international environment is seeking an experienced Treasury Manager to lead treasury operations, cash flow management, banking relations, and risk-related financial processes. The role is strategic and operational, with direct impact on financial stability and efficiency.
Key Responsibilities
- Manage daily treasury operations, payments, and cash flow planning
- Coordinate banking relationships, including account opening and administration
- Prepare and analyze cash flow and payment reports
- Manage loans, debt drawdowns, and debt servicing operations
- Oversee FX conversions, deposits, guarantees, and letters of credit
- Coordinate insurance-related procedures and relationships with brokers
- Ensure compliance with internal controls, policies, and regulatory requirements
- Develop and improve treasury-related policies and procedures
- Coordinate KYC documentation with banks and financial institutions
- Lead and coordinate treasury team activities
Requirements
- Bachelor’s degree in Finance, Accounting, or Economics
- Minimum 7 years of relevant experience in treasury or corporate finance
- Strong expertise in banking operations, treasury, and risk management
- Solid knowledge of payments, cash flow management, and currency controls
- Experience working with international or multinational companies
- Strong analytical, leadership, and communication skills
- English – Upper-Intermediate or higher
- Proficiency in MS Office and financial systems
- Professional certification (CFA / FRM or in progress) is an advantage
Interested candidates can send their CV to the e-mail address in the Apply for job button.