Hybrid - Full Time - Finance, Treasury and Automation
Cyprus (Limassol)
Application ID: 6576
We’re looking for an experienced Treasury Expert to support international operations, streamline cross-border treasury processes, and ensure compliant currency control across multiple jurisdictions. This role combines operational expertise with strategic oversight, helping the company manage currency flows efficiently, mitigate risks, and support new business initiatives with strong financial guidance.
Provide treasury-related inputs and requirements for new business initiatives, system enhancements, and process changes
Advise project teams on cash flow impacts, payment structures, and banking requirements
Manage treasury processes across group companies, ensuring efficient and compliant currency control and fund repatriation
Coordinate cross-border payments and currency transactions in line with local laws, regulations, and internal policies
Monitor compliance with currency restrictions, reporting obligations, and regulatory requirements in each jurisdiction
Collaborate with banks, financial institutions, and internal teams to facilitate smooth currency operations and optimize repatriation of funds
Develop, update, and enforce processes and controls related to foreign exchange and currency movements
Provide guidance and training to local treasury teams on currency control rules and best practices
Prepare and review documentation such as transfer requests, compliance reports, and regulatory filings
Identify risks associated with currency movements and implement mitigation strategies
Support internal and external audits related to currency control and ensure compliance with regulations
Skills, Knowledge & Expertise
Minimum 5 years of experience in treasury management, with a strong focus on currency control, cross-border payments, and international fund repatriation
Hands-on experience working with currency regulations, compliance requirements, and reporting obligations across multiple jurisdictions
Proven track record in leading currency control initiatives, optimizing repatriation processes, and reducing regulatory risks
Experience with treasury systems, ERP platforms, and financial reconciliation tools
Background in process improvements and automation within treasury functions
Strong understanding of AML, KYC, and compliance standards relevant to FX and cross-border transactions
Job Benefits
Stable salary, official employment
Hybrid work mode and flexible schedule
Relocation package offered for candidates moving to Cyprus
Access to professional counseling services including psychological, financial, and legal support
Discount club membership
Diverse internal training programs
Partially or fully paid additional training courses