Job Description
We are seeking a Treasury Manager with solid experience in industrial environments, focused on liquidity management, financial risk control, and strategic banking relationships.
Key Responsibilities- Lead the treasury strategy to ensure liquidity, solvency, and efficient working capital management.
- Manage cash flow planning and forecasting in the short, medium, and long term.
- Oversee relationships with financial institutions, including credit lines, financing structures, and negotiations.
- Supervise treasury operations such as payments, collections, bank reconciliations, and financial risk management.
- Implement and monitor treasury policies, internal controls, and compliance standards.
- Partner with Finance, Accounting, Planning, and Operations to ensure business continuity.
- Analyze financial scenarios and propose strategies to optimize costs and mitigate FX and financial risks.
- Lead, develop, and strengthen the treasury team, ensuring efficient and standardized processes.
- Bachelor’s degree in Finance, Accounting, Business Administration, or a related field.
- Proven experience in Treasury roles within manufacturing companies .
- Strong knowledge of cash management, banking, financing, debt, and working capital.
- Experience working with ERP systems (SAP, Oracle, AX, or similar).
- Strong analytical, leadership, and decision-making skills.
- Advanced English, required for interaction with corporate and international stakeholders.
- A strategic role with direct impact on the company’s financial stability.
- Exposure to senior-level decision-making.
- Professional development within a structured and challenging environment.
- Competitive compensation package aligned with market standards.
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