Treasury Assistant Manager

ARY HOLDING

Beykoz

On-site

TRY 250,000 - 400,000

Full time

44 hours ago
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Job summary

ARY HOLDING in Beykoz, Istanbul is seeking a Treasury Assistant Manager to join our headquarters team. The role focuses on allocating credit limits, optimizing treasury operations, and managing liquidity with a strong emphasis on risk control and financial reporting.

The ideal candidate will have at least 8 years in banking/treasury, fluent English, and advanced MS Office skills, enabling effective collaboration with senior management and external auditors.

Qualifications

  • Minimum 8 years of experience in banking and treasury operations.
  • Strong knowledge of credit limit allocation and monitoring.
  • Proficiency in financial analysis and reporting.
  • Fluent in English (written and spoken).
  • Advanced skills in MS Office programs.
  • Excellent communication and teamwork abilities.
  • Strong analytical thinking and problem-solving skills.
  • High attention to detail and a results-oriented approach.
  • Ability to manage multiple priorities with strong organizational skills.

Responsibilities

  • Allocate and monitor credit limits across portfolios.
  • Manage and optimize treasury operations for efficiency.
  • Conduct liquidity and financial risk management processes.
  • Monitor and manage daily cash flow and liquidity.
  • Prepare financial reports and analyses for management.
  • Support internal and external audit processes.
  • Maintain relationships with banks and financial institutions.
  • Contribute to treasury policies and procedures development.
  • Track market conditions and develop risk minimization strategies.
  • Provide regular reports to senior management.

Tools

MS Office

Job description

Treasury Assistant Manager | Beykoz, Istanbul

We are looking for a Treasury Assistant Manager to join our team at our headquarters in Beykoz, Istanbul. If you have strong expertise, a commitment to personal growth, and a desire to thrive in a dynamic work environment, we’d love to meet you!

What You’ll Be Doing:
  • Allocating and monitoring credit limits
  • Managing and optimizing treasury operations
  • Conducting liquidity and financial risk management processes
  • Monitoring and managing daily cash flow
  • Preparing financial reports and analyses
  • Supporting internal and external audit processes
  • Managing relationships with banks and financial institutions
  • Contributing to the development of treasury policies and procedures
  • Tracking market conditions and developing risk minimization strategies
  • Providing regular reports to senior management
What We’re Looking For:
  • Minimum 8 years of experience in banking and treasury operations
  • Strong knowledge of credit limit allocation and monitoring
  • Proficiency in financial analysis and reporting
  • Fluent in English (both written and spoken)
  • Advanced skills in MS Office programs
  • Excellent communication and teamwork abilities
  • Strong analytical thinking and problem-solving skills
  • High attention to detail and a results-oriented approach
  • Ability to manage multiple priorities with strong organizational skills
Why Join Us?

We foster a culture of innovation, collaboration, and continuous growth. You’ll have the opportunity to work with industry experts, take on exciting challenges, and make a real impact on our financial strategies.

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