Treasury & Accounts Receivable Specialist (m/f/d)

Posted 8 Hours Ago
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Hiring Remotely in Malta
Remote
Mid level
Angel or VC Firm • Real Estate • Financial Services
The Role
Manages daily cash positions, liquidity reporting, bank accounts, payments, and treasury controls. Handles customer billing, invoices, credit notes, payment allocation, receivables reconciliation, overdue accounts, and revenue recognition support. Coordinates with finance teams, banks, customers, auditors, and internal stakeholders while supporting period-end close, compliance documentation, process improvements, and financial controls.
Summary Generated by Built In

We are strengthening our team in Malta and are looking for as an

Treasury & Accounts Receivable Specialist (m/f/d)

In this role, you will support the effective management of cash, banking activities and accounts receivable across the organisation. You will work closely with internal finance teams, business units, banks and customers to ensure accurate processing, timely reporting and strong financial controls.

The position combines operational treasury responsibilities with accounts receivable activities and is well suited to a finance professional who is detail-oriented, reliable and comfortable working in an international environment.

Key responsibilities

Treasury

  • Monitor daily cash positions and support short- and medium-term liquidity planning.

  • Prepare cash flow information and liquidity reports for internal stakeholders.

  • Support the administration and maintenance of bank accounts, mandates and banking documentation.

  • Coordinate with banks and internal stakeholders on account-related matters.

  • Execute and monitor payments in accordance with established approval processes and internal controls.

  • Investigate and resolve payment exceptions, rejected transactions and other banking issues.

  • Support the preparation of treasury reports, cash forecasts and variance analyses.

  • Support in the Know-Your-Customer (KYC) process.

Accounts receivable, billing and revenue recognition

  • Maintain customer contracts and billing-relevant master data, ensuring that contractual terms, billing schedules and customer information are accurately reflected in the relevant systems.

  • Prepare and issue recurring customer invoices in accordance with contractual agreements, approved pricing and billing schedules.

  • Create and process ad hoc invoices, credit notes and other billing adjustments in a timely and accurate manner.

  • Coordinate with internal stakeholders to clarify billing requirements, contractual changes and invoice-related queries.

  • Monitor customer accounts and ensure the timely allocation of incoming payments.

  • Perform regular reviews of outstanding and overdue receivables.

  • Investigate and resolve payment discrepancies, unapplied cash and account reconciliation issues.

  • Support revenue recognition activities in accordance with applicable accounting standards, internal policies and the underlying contractual arrangements.

  • Review revenue recognition schedules and relevant contract data, and coordinate with Accounting and Controlling on period-end revenue postings and adjustments.

  • Support the period-end closing process and ensure that billing, receivables and revenue-related tasks are completed accurately and on time.

Collaboration and continuous improvement

  • Work closely with Accounting, Controlling, Tax and other finance teams to ensure consistent and efficient processes.

  • Contribute to the improvement and standardisation of treasury and accounts receivable processes.

  • Identify control gaps, operational risks and opportunities for process optimisation.

  • Maintain clear and complete documentation in line with internal policies and audit requirements.

  • Support internal and external audits by providing relevant information and documentation.

Your Profile

  • Degree or vocational qualification in Finance, Accounting, Business Administration or a comparable field.

  • Several years of relevant experience in treasury, accounts receivable, accounting or a related finance function.

  • Strong analytical and organisational skills, with a structured and detail-oriented approach.

  • Confident user of Microsoft Excel, including the ability to work with reconciliations, analyses and reporting files.

  • Strong communication skills and the ability to collaborate effectively with different stakeholders.

  • Fluent in English; additional language skills are an advantage.

  • High level of integrity, discretion and ownership.

What you can expect

  • A varied role combining treasury and accounts receivable responsibilities.

  • The opportunity to contribute to reliable, efficient and scalable finance processes.

  • A strong team player who works collaboratively, supports colleagues and contributes to a positive and constructive team environment.

  • Collaboration with an international network of finance and business stakeholders.

  • A professional environment that values accuracy, accountability and continuous improvement.

Skills Required

  • Degree or vocational qualification in Finance, Accounting, Business Administration, or a comparable field
  • Several years of relevant experience in treasury, accounts receivable, accounting, or a related finance function
  • Strong analytical and organizational skills with a structured, detail-oriented approach
  • Proficiency in Microsoft Excel, including reconciliations, analyses, and reporting files
  • Strong communication and stakeholder collaboration skills
  • Fluency in English
  • Additional language skills
  • High integrity, discretion, and ownership
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The Company
400 Employees
Year Founded: 2005

What We Do

AURELIUS is a globally active alternative investment firm focused on private equity, private debt, and real estate. It invests in and transforms companies through an operational approach, specializing in corporate carve-outs, platform build-ups, succession solutions, and bespoke financing. Its WaterRise operations advisory team provides hands-on support to improve portfolio-company performance and create sustainable value across complex transactions in Europe and North America.

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