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Position Details
Reference No.
82012
Title
Treasury Manager VAC-15968A
Employment Type
Full Time
Available Positions
1
Location(s):
Limassol
Posted On:
09/03/2018
Contact Details
Company
StaffMatters Recruitment
Contact Person
Administration Team
Address
4th floor Limassol Roussos Tower, Corner Anexartesias & Kyriakou Matsi
Limassol
Phones
+35725341383
Email
admin@smstaffmatters.com
Job Description

Our client, a Family Office Investment Firm, is looking to hire a Treasury Manager for their offices in Limassol.

Profile:

The company was established in 2010 and have in total 30 employees.  They deal with accounting, treasury, payroll, property, investment and legal affairs. They have branches in UK, Austria and Russia.  

Responsibilities:

Manage activities of the Group's Treasury and applicable external service providers responsible for ongoing cash management, banking, reporting and accounting support

Monitor and manage the compliance with all debt and credit arrangements. Understand debt repayment requirements, restrictive covenants, periodic reporting for internal and external counterparties and due dates

Manage and minimize the costs incurred with operating banks for services provided, comparing prices charged to those negotiated with the bank

Review and approve funds transfer through various banking systems and through external service providers, being able to focus on important elements such as segregation of funds (tax implications) and security of company assets 

Preparing monthly cash flow budget, monitor actual vs budget results, weekly reporting of bank balances, controlling and updating payment registry with all invoices   

Foreign currency and liquidity risk management 

Coordinating intercompany loans (initiation, documentation, maintenance, reporting etc) including tax implication, across the Group

Coordinating with the bank, filling all required forms upon request  

Handle daily operating responsibilities of the Group as assigned, either in a primary or backup role (cash positioning, budgeting, cash flow forecasting, wire transfer approval/execution and the like)

Investigate and resolve operating errors in transactions failures within banks and within the Group, insuring that problem is not systematic in nature 

Duties can include any other additional tasks required by the Company 

Languages: Russian and English (fluent both oral and written), Greek is not required but will be an advantage

Working hours 9:00-18:00

Requirements:

At least 3 year of experience working in Treasury department of the company or bank 

Knowledge of accounting principles  

Excellent knowledge of Excel is a must 

Our client offers a salary of 2400-2700 euros gross per months, medical insurance (after the probation period) 21 days annual leave and 3 days sick leave.  Both are to be increased after a year to 22 days annual leave and 4 days sick leave, and after the second year to 24 days annual leave and 5 days sick leave.  Our client also offers an annual bonus is also offered based on performance and a probation period of 6 months.

Other Requirements

To apply for this vacancy, please send your CV to admin@smstaffmatters.com quoting the above Job title along the VAC number or alternatively call +357 25341383  for more information.