دیجی پی
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Treasury Manager

Tehran/Vanak
Full Time
شنبه تا چهارشنبه
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201 - 500 employees
Finance / Investment
Iranian company dealing only with Iranian entities
1397
Privately held
توضیحات بیشتر

key Requirements

6 years experience in similar position
Managerial work experience
Bachelor Finance/Accounting or Economics
Microsoft Excel - Advanced

Job Description

We are looking for an experienced and analytical Treasury Manager to lead our treasury operations, optimize cash and liquidity management, and strengthen our financial controls. In this role, you will work closely with Finance, Accounting, and senior leadership to ensure the organization has the financial resources and visibility needed to support its operations and growth.

Key Responsibilities

  • Manage daily cash positions, liquidity, and short- and long-term cash-flow forecasts
  • Develop strategies to optimize working capital and the use of available funds
  • Oversee banking relationships, bank accounts, facilities, guarantees, and financing arrangements
  • Monitor incoming and outgoing payments and ensure the timely fulfillment of financial obligations
  • Identify and manage liquidity, interest-rate, foreign-exchange, and other financial risks
  • Prepare treasury reports, forecasts, and financial analyses for senior management
  • Evaluate funding requirements and support negotiations with banks and financial institutions
  • Establish and improve treasury policies, controls, and approval processes
  • Ensure compliance with internal policies and applicable financial and regulatory requirements
  • Collaborate with Accounting, Financial Planning, Legal, Tax, and business teams
  • Lead, develop, and evaluate treasury team members

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field; a master’s degree or professional certification is an advantage
  • At least 6 years of relevant experience in treasury, corporate finance, banking, or financial management, including team leadership experience
  • Strong knowledge of cash management, liquidity planning, banking operations, and financial risk management
  • Advanced Excel and financial modelling skills
  • Experience working with ERP, treasury management, or financial reporting systems
  • Strong analytical, problem-solving, negotiation, and decision-making abilities
  • High attention to detail, integrity, and accountability
  • Excellent communication and stakeholder-management skills

What We Offer

  • A strategic role with direct impact on the organization’s financial stability and growth
  • Collaboration with experienced professionals and senior leaders
  • Opportunities for professional development and career progression
  • A dynamic, supportive, and performance-driven work environment

If you are a commercially minded treasury professional who can balance operational accuracy with strategic financial thinking, we would be delighted to hear from you.

Job Requirements

Gender
Men / Women
Education
Bachelor| Finance/Accounting Bachelor| Economics
Software
Microsoft Excel| Advanced

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