In the context of continuing business growth, we are looking for Treasury Specialist to join our treasury team!
Office location — subway station Shabolovskaya
Successful candidate profile
Knowledge, experience, and technical skills:
- 3-5 years of working experience at bank, or finance function of a commodity trading firm, or finance department of a corporate, preferably experience in international payments execution and banks relationships
- Good understanding of the following topics: funds transfers (including SWIFT), cash management, accounting
- MS Excel and Word confident user
- At least upper intermediate level of Russian and English (both in written and verbal)
- Analytical mindset
- Team worker, adaptable to rapidly changing environment
Job Description
- Daily liquidity and cash management activities, including payments execution and investigation
- Daily communication with numerous banks (different topics including Compliance issues)
- Monitoring of the latest regulations and guidelines in operating countries, enhancement of existing internal procedures
- Ad-hoc tasks from management and UBO