Treasury Manager
Location: Moscow, Russia
We are looking for experienced Treasury Manager.
Your responsibilities include, but not limited:
-
Detailed liquidity control and management (loans, factoring);
-
Cash flow forecasting and monitoring, optimization of financial resources;
-
Monitoring of daily cash positions, payment runs approval;
-
Maintenance of relationships with banking partners and financial institutions (KYC fees optimization and etc.);
-
Currency control maintenance.
-
Month-end-closing activities.
-
Continuous improvement of treasury processes (with a focus on automation)
-
Support business requests from a treasury perspective;
You would be a good match for this role, if you have:
-
University degree in finance
-
5+ years of experience in treasury
-
Experience in banking/ treasury/accounting systems.
-
Experience in an international corporation.
-
Upper-intermediate English language skills
-
Strong negotiation skills;
-
Attention to details, proactivity, and accountability for assigned tasks;
-
Ability to multitask effectively;
What we offer for you:
Competitive salary and annual bonus level
Medical insurance (for the employee and children, additional discount given for close relatives)
Life insurance, meal allowance, mobile compensation;
Flexible working hours;
Internal and external educational courses and trainings;
Additional 3 additional days of paid vacation;
Professional and career development opportunities (locally as well as worldwide).