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Head of Treasury

  • On-site
    • Limassol, Cyprus
  • Finance and Accounting

Job description

We are seeking a skilled Head of Treasury to oversee and manage our treasury operations, ensuring liquidity, risk mitigation, and compliance across our regulated entities.

The ideal candidate will have a strong background in treasury management, risk assessment, and financial controls, with at least 5+ years of experience in the financial industry and a solid understanding of accounting principles.

Key Responsibilities

1.Liquidity Management

2. Risk Management

3. Internal Controls

Job requirements

● 5+ years of experience in treasury management or a similar role within the financial industry, preferably in payments, electronic money institutions, or banking.

● Strong knowledge of accounting principles, financial reporting, and regulatory compliance.

● Proven expertise in liquidity management, FX operations, and risk mitigation strategies.

● Experience in managing multi-currency accounts and optimizing FX costs.

● Familiarity with regulatory frameworks governing payment institutions and electronic money institutions.

● Analytical, problem-solving, and decision-making skills.

On-site
  • Limassol, Cyprus
Finance and Accounting

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