
Treasury Specialist
- Алматы
- Постоянная работа
- Полная занятость
- Execution of operational treasury activities (H2H payments, uploading and allocation of bank statements in SAP by counterparties, currency conversion).
- Maintaining the payment calendar and ensuring its timely adherence.
- Managing company liquidity (deposit placements, loan operations).
- Performing foreign exchange control operations (export and import). Advising the business on FX control aspects, coordinating foreign trade contracts.
- Preparing cash flow reports for the central treasury (weekly, monthly).
- Interaction with internal and external auditors.
- Liaising with banks (accounts, contracts, tariffs).
- Managing operations related to corporate and customs cards.
- Monthly closing of accounting operations related to Treasury (interest accruals, revaluation).
- Preparing documentation and executing dividend payments.
- Monitoring and updating signatory authorities (bank powers of attorney, SAP limits).
- Submitting reports to the National Bank of Kazakhstan.
- Preparing presentations for regular meetings with the central treasury.
- Participating in projects related to ERP system configuration.
- At least 2 years of experience in Treasury within an international company (preferably in the FMCG sector).
- Experience with ERP systems (SAP is a must).
- Advanced Excel skills.
- English communication skills (written and spoken) are at an Upper-Intermediate level; you are comfortable communicating with HQ and project teams.
- Technical-analytical mindset and strong communication skills.
- Understanding of accounting principles related to treasury operations.
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