The skill of recruiting and the art of managing it is the key to the success of our company

Responsibilities:

  • Support treasury operations and daily cash flow management;
  • Liaise with banks and financial institutions;
  • Monitor and control payments, prepare financial reports;
  • Multi-currency & FX operations.

 

Qualification Requirements:

  • Higher education in Finance / Economics;
  • Minimum 3 years of relevant experience;
  • Experience in Treasury or Banking is an advantage;
  • Good knowledge of SAP or similar accounting systems;
  • English level — not lower than Intermediate.


Conditions:

Atyrau, 5/2


CV send to: This email address is being protected from spambots. You need JavaScript enabled to view it.