Treasury Specialist

Posted 6 Days Ago
Be an Early Applicant
Wrocław, Dolnośląskie, POL
Hybrid
108K-144K Annually
Mid level
Information Technology • Logistics • Software • Manufacturing
The Role
Manage day-to-day treasury operations including cash management, liquidity planning, domestic and international payments, bank account administration, treasury reporting, debt collection, and compliance. Collaborate with Accounting, AP/AR, Tax and Finance teams, support month/quarter/year-end activities, maintain treasury records, and identify process and control improvements using Excel and other tools.
Summary Generated by Built In

SUPPORT OUR GROWTH PLANS AS OUR NEXT TREASURY SPECIALIST

Take ownership of day-to-day treasury operations, ensuring effective cash management, accurate liquidity planning, smooth banking activities, and strong treasury controls. You’ll play a key role in maintaining the organization’s financial stability by optimizing cash flows, coordinating with banks and internal stakeholders, and delivering accurate treasury reporting.

WHAT AWAITS YOU AT IPTOR:

  • Professional Development: We're committed to fostering professional development and career growth. Our comprehensive training and development programs empower employees to reach their full potential.

  • A Collaborative and Innovative culture: At Iptor, our culture thrives on recognition, trust, and respect. We foster an inclusive and supportive environment valuing everyone’s contributions. We recognize dedication through an attractive salary package, bonuses, and generous vacation days. Our success is built upon collaboration and innovation.

Get a full overview at: Careers - Iptor


YOUR HELP AND CONTRIBUTIONS TO OUR JOURNEY

  • Own daily cash management, monitor cash positions, and ensure adequate liquidity.

  • Prepare cash flow forecasts and support liquidity planning.

  • Process and monitor domestic and international payments and post bank statements.

  • Manage bank accounts, banking documentation, and day-to-day banking activities.

  • Support banking relationships and ensure compliance with bank agreements and internal policies.

  • Prepare treasury reports, cash position reports, and liquidity analyses.

  • Monitor outstanding transactions and follow up on required actions.

  • Own and oversee debt collection activities.

  • Monitor compliance with treasury policies, financial controls, and regulatory requirements.

  • Maintain accurate treasury records, documentation, and banking system information.

  • Support treasury activities during month-end, quarter-end, and year-end.

  • Collaborate with Accounting, AP, AR, Tax, and Finance teams to ensure effective cash management.

  • Identify and implement improvements to treasury processes, controls, reporting, and efficiency.

  • Use Excel and other tools to streamline treasury analysis and processes.

YOU STAND OUT FROM THE CROWD IF YOU HAVE

To be both successful and motivated in this role, we think you recognize yourself in some (or all) of the below:

  • Bachelor's degree in Finance, Accounting, Economics, or a related field.

  • Previous experience in a treasury, cash management, or similar finance role.

  • Strong understanding of daily cash management, liquidity planning, payments, and banking operations.

  • Strong analytical and problem-solving skills, with the ability to interpret cash flow and treasury data.

  • Advanced Excel skills and an interest in using technology to streamline financial processes.

  • Strong attention to detail and a structured approach to managing financial transactions and deadlines.

  • Ability to work independently and exercise sound judgement within established policies and controls.

  • Excellent communication and collaboration skills, with the ability to work effectively across Finance and other business functions.

  • Proactive, adaptable, and comfortable working in a fast-paced environment with periodic time pressure around payment cycles and reporting deadlines.

  • High level of integrity, accountability, confidentiality, and professional conduct.

  • English language proficiency (required).

Salary Range:

  • Treasury Specialist: 108.000 – 126.000 PLN gross per year

  • Senior Treasury Specialist: 132.000 – 144.000 PLN gross per year

Please note that salary depends on experience, seniority, and the overall assessment throughout the interview process

Inclusion and Diversity

At Iptor, diversity and inclusion are at the core of our values. We believe that diverse perspectives drive innovation and excellence. We foster an inclusive workplace where every individual's contributions are celebrated and respected. Join us in creating an environment where each individual's unique contributions shape our success. 🌟

RECRUITER

Tereza Tencheva
Talent Acquisition Specialist

Skills Required

  • Bachelor's degree in Finance, Accounting, Economics, or related field
  • Previous experience in a treasury, cash management, or similar finance role
  • Strong understanding of daily cash management, liquidity planning, payments, and banking operations
  • Advanced Excel skills
  • Strong analytical and problem-solving skills with ability to interpret cash flow and treasury data
  • Strong attention to detail and structured approach to managing transactions and deadlines
  • Ability to work independently and exercise sound judgment within policies and controls
  • Excellent communication and collaboration skills
  • Proactive, adaptable, able to work under periodic time pressure (payment cycles, reporting deadlines)
  • English language proficiency
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The Company
Year Founded: 1978

What We Do

Iptor is a global leader in cloud-based ERP software, providing fully integrated enterprise solutions for distribution, manufacturing, and warehousing businesses. They empower organizations to operate smarter and faster by offering adaptable software backed by expert support in supply chain management.

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