About the Role
About the role
Are you ready to take the next step in your treasury career and contribute to a dynamic, global finance function? We are looking for a Senior Treasury Specialist to join our Treasury team, where you will play a key role in ensuring efficient liquidity management and driving operational excellence across the company’s treasury activities.
In this role, you will work broadly within treasury, combining hands-on daily operations with opportunities to influence and improve processes. You will collaborate closely with colleagues in Finance, Legal, and Compliance, as well as with External Banking Partners. This is an excellent opportunity for a proactive and detail-oriented treasury professional who enjoys both analysis and execution in an international environment.
Your responsibilities include, but not restricted to
Oversee and execute daily cash management operations, including administration of bank accounts and cash positioning
Support and maintain global cash pools and sweeping structures
Execute and monitor FX transactions and short-term investments
Prepare cash flow forecasts and liquidity reports, analyse variances, and support the forecasting process
Review and approve non-repetitive payments, ensuring compliance with authorization and documentation requirements
Monitor and reconcile bank fees and merchant card charges and prepare monthly reporting
Identify and implement process improvements to enhance efficiency and control within treasury operations
Participate in or lead projects and initiatives within the treasury function, including system and automation developments
Tech Stack
cash managementcash positioningFX transactionscash flow forecastingliquidity reportingbank reconciliationprocess improvementsystem developmentautomation