Job Description
We are looking for a Treasurer to manage the bank's liquidity, cash flow, and treasury operations, ensuring optimal capital allocation and financial stability.
Key Responsibilities
- Manage daily cash flow and liquidity positions
- Oversee banking relationships and payment infrastructure
- Execute treasury operations including FX and settlements
- Prepare cash flow forecasts and liquidity reports
- Ensure compliance with treasury-related regulatory requirements
- Support the CFO with financial planning and risk management
Requirements
- 3+ years in treasury or cash management within banking or fintech
- Strong knowledge of payment systems (SEPA, SWIFT) and banking operations
- Experience with treasury management systemsExcellent analytical and reporting skills
- Fluency in English required; Russian is a plus