
group treasurer
THEON International
Ψυχικό
Ψυχικό
On Site
Χρηματοοικονομικά
Permanent
Full Time
About the job
We are seeking a hands-on Group Treasurer to oversee and execute core treasury operations at the group level. This role offers broad exposure across cash management, funding, risk, and stakeholder engagement, and plays a key part in maintaining the company’s financial health and liquidity position.
Key Responsibilities:
1. Cash Management
Manage the company’s daily cash positions and related treasury operations
Ensure optimal cash flow to support operational requirements
Monitor liquidity, anticipate shortfalls, and propose funding or structural solutions
Support the arrangement and negotiation of funding facilities including loans and overdrafts
2. Risk Management
Manage foreign exchange and interest rate risks in line with the company’s risk appetite
Support the implementation of risk mitigation strategies and monitor exposures
3. Funding & Investments
Evaluate and recommend appropriate funding solutions and financial instruments
Oversee short-term investment strategies to ensure diversification and risk-adjusted returns
Support working capital optimization efforts across the group, including inventory and payables analysis
4. Stakeholder Management
Maintain productive day-to-day relationships with banks, financial institutions, and insurers
Coordinate closely with external financial partners to support funding and operational needs
5. Reporting
Prepare and consolidate group-level cash flow reports on a regular basis
Coordinate with subsidiaries to ensure timely and accurate submission of local treasury data
Provide treasury inputs to group-wide financial reporting and planning activities
Qualifications:
Bachelor’s degree in Finance, Accounting, Economics, or a related field (Master’s degree or professional certification such as ACT, CFA, or CTP is a plus)
Strong understanding of corporate treasury operations, cash flow forecasting, and risk management
Proficient in treasury systems and Excel; familiarity with ERP systems (e.g. D365, SAP, Oracle) is an advantage
Experience as part of a treasury function in a listed multinational organization would be a plus
Excellent analytical, organizational, and communication skills
Ability to work cross-functionally in a global and fast-paced environment
On Site
Χρηματοοικονομικά
Permanent
Full Time
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