Senior Treasury Operations Manager (International Treasury Operations)

Added
1 hour ago
Type
Full time
Salary
Salary not provided

Related skills

forecasting kyc regulatory compliance ma_transactions banking_portals

๐Ÿ“‹ Description

  • Manage cross-functional projects on FX hedging, financing, and cash flow optimization across the group.
  • Negotiate with banks; structure lending and cash placements in Ukraine and abroad.
  • Analyze and structure MA transactions and support integration of acquired companies.
  • Manage bank accounts abroad, coordinate KYC processes, and use banking portals.
  • Initiate international payments, conduct FX trades, and support operational funding.
  • Support internal controls and audits; update data in the Treasury Management System; perform SOX controls.

๐ŸŽฏ Requirements

  • Higher education in Economics or Finance.
  • At least 7 years of experience in financial or banking sector.
  • Experience with client-bank systems, banking portals, and financial instruments.
  • Fluent in English.
  • Strong analytical thinking; able to solve complex and non-standard problems.
  • Work independently, demonstrate initiative, and take responsibility.

๐ŸŽ Benefits

  • Flexible working hours and hybrid work format.
  • Performance bonuses (annual or quarterly depending on the role).
  • 340+ internal courses, corporate library, and learning programs from partners.
  • Life and health insurance.
  • Employee and family support programs including psychological and legal assistance.
  • Barrier-free workspace for work and development.
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