
Financial Controller - Treasury Manager
Duties & Tasks​
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Day to day supervision of treasury activities including centralized cash and debt facilities management.
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Implement and management of group FX exposures and supervision of FX dealings
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Develop, manage and recommend short/ long term Treasury strategies with aim of cost reduction in finance charges
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Suggest any adjustments or amendments related to the followed Treasury/ Banking procedures and regulations that would enhance work efficiency.
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Optimize Cash Management and take the necessary actions to ensure liquidity through internal and external resources.
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Anticipate short/ long term cash requirements
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Develop and implement short/ long term cash flow forecast.
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Must have extensive cashflow and cash management experience across multi currencies and countries
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Supervise and manage all European cash balances effectively
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Present weekly cash-forecasts
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Supervise the communication & coordination with external parties including external auditors, banks, governmental institutions, legal bodies, etc.
Requirements:
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Minimum 5 years experience in the same role
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Fluent in English
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Please, send your application in English.
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