Are you looking for an opportunity to work in a rapidly growing startup that does meaningful work? Or maybe you’re tired of the mundane cubicle jobs and want to join a friendly, passionate team with limitless potential? If so, we may be the business for you!
We are looking for Senior Treasury Management Specialist to join our team. You can work from any place in the world!
If You Have:
Min 3 years of experience in cash management
Familiarity and knowledge in the area of safeguarding client funds
Good knowledge of SWIFT / SEPA
Very good knowledge of Microsoft Office especially Excel
Knowledge and experience of online banking systems
Your Daily Duties Will Be:
Supervision and monitoring the financial liquidity of corporate and client funds
Participation in the preparation/execution of transfers to maintain liquidity
Maintaining relations with Banks and financial institutions on current topics
Ensuring the requirements related to the safeguarding of customers' funds are met
Proper performance of duties using access to banking systems and PSP (Payment Service Providers)
Currency exchange – tracking exchange rates and determining the appropriate time for currency exchange
Forecasting - preparing financial forecasts for the Company based on available data and analyzing the forecast to ensure adequate future liquidity of the company
Ongoing monitoring of currency markets, creating analyses and reports
Participation and support in the process of safeguarding customers' funds
Participation in the process of creating internal procedures
We Offer:
Future career opportunities with international exposure
A supportive and diverse environment that allows our employees to thrive and learn