Просмотр вакансии

Сегодня 09-02-2026 02:13
04.02.2026, 15:03

Treasury Manager

Работодатель: UCC Holding

UCC Holding

Город: Астана
Занятость: Полная занятость, Полный день
Опыт работы: Более 6 лет

Responsibilities:

  • Manage the organization's cash flow, ensuring sufficient liquidity to meet financial obligations while optimizing the use of cash resources.
  • Oversee the development and implementation of cash management strategies and policies to maximize returns on surplus funds and minimize borrowing costs.
  • Manage relationships with banks and financial institutions, negotiating banking services, and maintaining bank accounts to ensure efficient cash management and banking operations.
  • Assess and manage financial risks, including interest rate risk, foreign exchange risk, and credit risk, through hedging strategies and risk management techniques.
  • Develop and implement treasury policies, procedures, and controls to ensure compliance with regulatory requirements and internal governance standards.
  • Conduct cash flow forecasting and analysis to support financial planning, budgeting, and decision-making processes.
  • Supervise the execution of financial transactions, including investments, borrowing, and debt financing, in accordance with established policies and guidelines.
  • Monitor and analyze market trends, economic conditions, and regulatory changes to anticipate potential impacts on the organization's financial position and strategies.
  • Provide financial advice and support to senior management on treasury-related matters, including financial risk assessments, investment strategies, and capital allocation decisions.
  • Lead and develop the treasury team, providing guidance, training, and support to ensure the effective operation of the treasury function.
  • Support the implementation of HSE initiatives, participate in safety awareness activities, and contribute to incident reporting and resolution in alignment with company and IMS policies.

Requirements:

  • Experience in managing banking relationships, negotiating banking services, and optimizing bank account structures to minimize costs and maximize efficiency.
  • Knowledge of regulatory requirements and compliance standards related to treasury operations, including anti-money laundering (AML) regulations and financial reporting standards.
  • Strong communication and interpersonal skills are vital for building relationships with internal stakeholders, external partners, and financial institutions.
  • Experience in developing and implementing treasury policies, procedures, and controls to ensure compliance with regulatory requirements and best practices.
  • ERP knowledge preferably SAP functional skills are a requirement to be successful in this role.

Job Experience:

Minimum 8 years working experience, 5 years in a relevant supervisory position.

Education:

  • Bachelor's Degree in Accounts and Finance.

 

Откликнуться на вакансию

Дата
08.02 09.02
USD
2.8616 2.8683
EUR
3.3713 3.3822
RUB
3.7424 3.7319
UAH
6.6315 6.642
CHF
3.6765 3.6861
GBP
3.8825 3.8934
PLN
7.9946 8.0239
Минск
Утром: °C
Днем: °C
Вечером: °C
Ночью: °C

Сейчас: Скорость ветра: 5-7 м/c Атм. давление: 758 мм.рт.ст Влажность: 90%

Спецпредложения