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Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in Treasury operations, cash management, and financial transaction processes, with a strong focus on accuracy and efficiency. Capable of building relationships with stakeholders and improving operational processes through automation and systematic approaches.
Highest-signal resume keywords
Treasury OperationsCash ManagementInternational TransfersFinancial Process AutomationAccounting Knowledge
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Cash ManagementFinancial TransactionsInternational TransfersAccounting AnalysisFinancial DocumentationProcess ImprovementOperational EfficiencyInvestment ManagementFinancial StructuresTreasury Management
Soft Skills
Organizational SkillsAttention to DetailCommunication SkillsRelationship BuildingSolution-Oriented Mindset
Industry Keywords
FintechOffshore OperationsStakeholder EngagementAuditingProcess Automation
About the role
Key responsibilities & impact- Manage working capital, accounts payable, and accounts receivable for offshore entities, ensuring visibility and control over each operation’s cash position
- Monitor international cash flow, including fund movements between the group’s different entities
- Execute international transfers and payments, ensuring the correct booking and recording of each transaction
- Organize and maintain supporting documentation for financial transactions, ensuring that all information required for accounting and auditing is readily available
- Serve as Treasury’s primary point of contact for the accounting teams and external auditors of the different entities
- Critically evaluate the accounting records of financial transactions, identifying inconsistencies and ensuring accurate accounting treatment
- Work closely with a range of internal and external stakeholders, including international stakeholders
- Support the development of the new Offshore Treasury structure by proposing processes, controls, and improvements
- Identify opportunities to automate financial processes and improve operational efficiency
Requirements
What you’ll need- Professional experience in Treasury, with a strong understanding of cash management and Treasury operations
- Experience with payments and financial transactions, including international transfers and payments
- Experience working with auditors and preparing and organizing supporting documentation for financial transactions
- Solid accounting knowledge, with the ability to understand, discuss, and critically analyze accounting records
- Fluent or advanced English
- Ability to work independently with strong organizational skills and attention to detail
- Constructive, solution-oriented mindset, with an interest in structuring processes and developing solutions in-house
- Strong communication and relationship-building skills with internal and external stakeholders
- Preferred: prior experience in fintechs, startups, or fast-growing environments
- Preferred: experience with offshore operations and financial structures involving multiple entities or jurisdictions
- Preferred: experience managing investments and strategies to maximize returns on cash
- Preferred: familiarity with financial process automation
- Preferred: process-oriented and systematic approach, with operational discipline and the ability to build controls
- Preferred: interest in technology and using automation to increase operational efficiency
Benefits
Comp & perks- Competitive salary
- Annual bonus
- SuperSim Flex benefits, including a meal/food allowance, transportation or mobility allowance, health insurance, dental insurance, life insurance, education assistance, and Totalpass
- Private pension plan
- Stock purchase program for eligible positions
- Company-subsidized training
- Day off on your birthday
- Weekly soccer and volleyball
- Celebratory events and themed happy hours
