Город: Астана
Занятость: Полная занятость, Полный день
Опыт работы: Более 6 лет
We are seeking a skilled Treasury Accountant to join our team in Astana on a 5/2 schedule.
Key Responsibilities:
- Manage daily cash flow, payments, and bank transactions
- Coordinate banking operations, account management, and related documentation
- Prepare and maintain treasury reports and financial records
- Support financial analysis and ensure compliance with internal and external regulations
Requirements:
- Proven experience in treasury, finance, or banking operations (essential)
- Solid understanding of banking systems and cash management
- English proficiency (written and spoken)
- Strong analytical and organizational skills
- High attention to detail and ability to work under deadlines
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