Город: Ташкент
Занятость: Полная, 5/2
Опыт работы: От 3 до 6 лет
Responsibilities:
- Managing daily treasury operations, including payment processing (local and international);
- Working with multiple banks, including support of currency control processes;
- Monitoring cash flow and maintaining optimal liquidity levels;
- Preparing and uploading payment orders, ensuring accuracy and compliance;
- Performing bank reconciliations and ensuring proper reflection in the accounting system;
- Supporting the implementation and improvement of treasury processes;
- взаимодействие с внутренними департаментами по вопросам платежей и казначейских операций.
- Requirements:
- Higher education in Finance, Accounting, or Economics;
- 2+ years of experience in treasury / banking operations / accounting;
- Experience working with local and foreign currency transactions;
- Understanding of cash flow and liquidity management principles;
- Experience working with ERP systems (1C / SAP / similar);
- English — at least Intermediate level;
- Strong attention to detail and ability to work in a dynamic environment.
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We offer:
- Opportunity to join an international company at the stage of launching operations in Uzbekistan;
- Competitive salary and benefits package;
- Professional growth and development within a global structure;
- Dynamic and collaborative working environment.
Адрес: Ташкент
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