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Treasury Specialist

📍 Alger, Algérie 💼 Sur site ⏰ Temps plein 🏷️ Administration et bureau
Clôture des candidatures
📅 26 sept. 2026
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Description du poste

Job Summary

We are seeking a highly motivated and detail-oriented Treasury & Banking Specialist to manage banking operations, financing activities, treasury reporting, and import-related transactions while ensuring compliance with local regulations.

Key Responsibilities
  • Manage banking and financing activities.

  • Prepare treasury reports and ensure compliance with local regulations.

  • Monitor and manage risks related to foreign exchange and interest rate fluctuations.

  • Maintain and develop relationships with banking partners.

  • Handle bank transactions and fund transfers.

  • Manage importation-related banking processes.

  • Oversee bank domiciliation procedures.

  • Open and follow up on DA, OA, and LC (Documentary Credits).

  • Manage dividend transfer operations.

  • Monitor company funds and deposit management.

  • Coordinate salary transfer processes.

  • Manage PPI-related activities.

Requirements
  • Bachelor's degree in Finance, Accounting, Business Administration, or related field.

  • Proven experience in treasury, banking operations, finance, or a similar role.

  • Strong knowledge of banking procedures, international trade transactions, and treasury management.

  • Good understanding of foreign exchange and financial risk management.

  • Excellent analytical and reporting skills.

  • Fluency in English and French (written and spoken).

  • Proficiency in Microsoft Office, especially Excel.

Skills
  • Strong communication and negotiation skills.

  • Ability to manage multiple tasks and meet deadlines.

  • High level of accuracy, integrity, and confidentiality.

  • Strong problem-solving and organizational skills.

À propos de l'entreprise

Perfil creado a partir de ofertas publicas en Argelia.