Senior Treasury & Cash Management Specialist

Уровень дохода не указан

Опыт работы: 3–6 лет

Полная занятость

График: 5/2

Рабочие часы: 8

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Job responsibilities:

  • Maintain banking relationships and identify opportunities to better utilize the organization’s bank services for CIS Countries.
  • Monitoring the cash management process and determine accuracy of cash reporting Track and report on credit line usage, and letters of credit, National Bank
  • Maintain cash flow by managing cash forecasting models and monitoring bank balances and cash requirements
  • Support annual audits by providing information and responses to auditors
  • Manage and accurately complete periodic bank exams and appraisals
  • Ensure compliance with weekly and monthly collateral reporting to Headquarter, (daily, weekly, and monthly)
  • Ensure the flawless completion of central payment approval processes

Job requirements

  • 5-6 years' experience in similar position
  • Higher education in finance
  • Turkish language is a must (both written and speaking)
  • English proficiency at an upper intermediate level or above
  • Proficiency in 1C and Excel

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Вакансия опубликована 26 марта 2025 в Алматы

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