Treasurer
Growe welcomes those who are excited to:
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Manage cash flow activities and support smooth execution of day-to-day treasury operations (control of all the account balances, timely recording and statements reconciliation in the accounting system, etc.);
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Interact with company departments and external partners regarding payments (cooperate with the legal and marketing department, consult and support in payment methods, identify the need to connect new payment methods);
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Support cash-management functions (communicate with banks and payment systems, KYC procedures, prepare and collect the needed documents/invoices, reply to the banks’ requests);
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Made daily and monthly reports (prepare updated operating treasury reports);
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Participate in optimization work procedures and policies, improving treasury-related business processes.
We need your professional experience:
- Work experience in a similar position for 2 years;
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Experience with international banks;
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Experience with various types of corporate documents (powers of attorney, statutes, resolutions, etc.);
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Practical experience in 1C, Excel;
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Upper-intermediate level of English and Ukrainian.
We appreciate if you have those personal features:
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High level of communication and collaboration skills;
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Accuracy and high attention to detail;
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Ability to work with large amounts of data;
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Ability to work flexibly in a dynamic environment.
We are seeking those who align with our core values:
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GROWE TOGETHER: Our team is our main asset. We work together and support each other to achieve our common goals;
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DRIVE RESULT OVER PROCESS: We set ambitious, clear, measurable goals in line with our strategy and driving Growe to success;
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BE READY FOR CHANGE: We see challenges as opportunities to grow and evolve. We adapt today to win tomorrow.
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