Companie nouă? Primești un Anunț Business cu actualizare săptămânală Gratuit (€269)
Gratis
Joburi
Cariera
Salarii
Ofertă Companii
Cont nou
roen
Treasury & Credit Risk Manager
CONFIDENTIAL - 1 poziție

Candidatul Ideal

What We Are Looking For:

Education & Experience
  • Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or a related field.
  • Minimum 5 years of experience in Treasury, Corporate Finance, Banking, Credit Risk, or Financial Management.
  • At least 3 years of people management experience.
  • Proven experience managing banking relationships, financing facilities, and credit risk portfolios.
  • Experience working with credit insurance companies and financial institutions.
  • FMCG, distribution, retail, or multinational environment experience is considered a strong advantage.
Technical Skills:
  • Strong understanding of treasury operations, cash flow management, and liquidity planning.
  • Solid knowledge of credit risk assessment and risk mitigation practices.
  • Experience with loan agreements, financial covenants, factoring, and bank guarantees.
  • Knowledge of treasury hedging instruments and derivatives represents an advantage.
  • Advanced financial analysis and reporting skills.
  • Advanced Excel proficiency; experience with ERP and Treasury Management Systems is preferred.
  • Fluent English (written and spoken).
Personal Competencies
  • Strategic thinking with strong business acumen.
  • Excellent analytical and problem-solving skills.
  • Strong negotiation and stakeholder management abilities.
  • Leadership and team development capabilities.
  • High attention to detail and commitment to compliance.
  • Ability to perform effectively in a dynamic, fast-paced environment.
  • Strong communication and influencing skills.

Descrierea jobului

Key Responsibilities:
Treasury Management
  • Lead and oversee all treasury activities across the organization.
  • Prepare and maintain short-, medium-, and long-term cash flow forecasts.
  • Monitor company liquidity and optimize cash management processes.
  • Manage relationships with banks and financial institutions.
  • Oversee loan facilities, drawdowns, repayments, and compliance with financial covenants.
  • Analyze and identify financing opportunities, including alternative funding structures and financial instruments.
  • Ensure compliance with Group Treasury policies and procedures.
  • Monitor treasury costs and coordinate budgeting, forecasting, and reporting activities.
Credit Risk Management
  • Define and implement credit risk management policies and procedures.
  • Manage customer credit limits and evaluate creditworthiness.
  • Develop risk segmentation and mitigation strategies across customer portfolios, business units, and divisions.
  • Work closely with credit insurance providers and external risk intelligence agencies.
  • Negotiate and coordinate bank guarantees and other credit risk mitigation tools.
  • Monitor customer exposure and proactively reduce the risk of bad debt.
  • Ensure compliance with the company’s credit policy while supporting commercial growth objectives.
Financial Control & Reporting
  • Ensure the accuracy, completeness, and reconciliation of treasury-related financial information.
  • Monitor and reconcile bank, loan, and financing accounts.
  • Prepare management reports related to cash operations, liquidity, financing exposure, and credit risk.
  • Maintain treasury and credit risk documentation, policies, procedures, and work instructions.
  • Support business profitability through cost-efficiency and financial optimization initiatives.
Leadership & Team Management
  • Lead, coach, motivate, and develop the Treasury and Credit Risk team.
  • Set objectives, KPIs, and development plans for direct reports.
  • Conduct performance evaluations and support employee growth.
  • Ensure adequate resource allocation and operational continuity.
  • Participate in company-wide finance projects and strategic initiatives.
  • Translate organizational objectives into actionable team and individual goals.
Publicat 10 Iul. 2026Reactualizat 10 Iul. 2026Expiră 9 Aug. 2026

CONFIDENTIAL

Companie verificată
Compania este înregistrată oficial pe website-urile autorităților și ministerelor naționale, iar informațiile declarate de aceasta în momentul creării contului corespund cu cele din sursele oficiale.
Joburi similare
Administrare cookies 🍪

Folosim cookie-uri pentru a-ți oferi o experiență presonalizată.

Permite activarea pentru a beneficia de avantajele lor.

Vezi politica noastră de cookies.