Treasury Specialist

ALPLA INC.

İzmit

On-site

TRY 240,000 - 320,000

Full time

9 days ago

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Job summary

ALPLA in Gebze, Turkey, is seeking a Treasury/Finance & Controlling professional to ensure accuracy and reconciliation of financial data within Treasury, maintain bank relationships, administer loan documents, and support daily cash transactions. The role requires a Bachelor’s in Finance or related field and 2–3 years in treasury or banking.

Strong analytical, communication and stakeholder management skills are essential.

Qualifications

  • Bachelor's degree in Finance, Economics, Accounting, Business Administration or related field preferred.
  • Minimum 2-3 years in Treasury, Finance, Banking or related field preferred.
  • Experience in corporate Treasury operations is an advantage.

Responsibilities

  • Ensure accuracy, completeness and reconciliation of financial information in Treasury.
  • Maintain relationships with primary contacts at each bank.
  • Support administration of loan agreements and related documentation.
  • Handle daily cash transactions and bookkeeping of bank activity.
  • Administer bank accounts, signatory changes and internal records.
  • Prepare and maintain reports related to Treasury activities.
  • Review bank transfer requests for authenticity and accuracy.
  • Prepare cash flow reports and support cash-related actions.
  • Support relationships with lenders, consultants and other financial partners.
  • Review stop payment requests and conduct banking research as needed.
  • Monitor banking fees, earnings credits and account set-ups.
  • Support evaluation of investment options for corporate cash balances.
  • Follow standard Treasury SOPs and maintain up-to-date records.
  • Contribute to continuous improvement initiatives in Treasury controls and risk management.

Skills

Analytical skills
Interpersonal skills
Communication skills
Attention to detail
Self-motivation
Stakeholder management

Education

Bachelor's degree in Finance or related field

Job description

Gebze / Kocaeli / Turkey /Finance & Controlling/Full time

  • Responsible for the accuracy, completeness and reconciliation of all financial information processed within the Treasury function, ensuring the integrity of financial data and monitoring the reconciliation of bank and loan accounts.
  • Maintain relationships with primary contacts at each bank.
  • Support the administration of loan agreements, reviewing and checking relevant agreements and documentation with banks.
  • Take an active role in daily cash transactions.
  • Responsible for the bookkeeping and recording of bank transactions.
  • Administer bank accounts, including new account openings, authorized signatory changes and maintaining clear internal records.
  • Prepare and maintain reports related to Treasury activities.
  • Review bank transfer requests for authenticity, accuracy and completeness.
  • Prepare and monitor cash flow reports and support cash-related actions.
  • Support relationships with lenders, consultants and other relevant financial partners.
  • Review stop payment requests and perform other bank-related research and follow-up activities.
  • Monitor account set-ups, banking fees, earnings credits and other banking-related matters.
  • Support the review and analysis of investment options for corporate cash balances.
  • Follow and maintain standard operating procedures for individual and routine Treasury activities.
  • Ensure Treasury-related documents and records are maintained accurately and up to date.
  • Support continuous improvement initiatives related to Treasury processes, controls and risk management.
What makes you great

Education & Experience

  • Bachelor's degree in Finance, Economics, Accounting, Business Administration or a related field is preferred.
  • Minimum 2-3 years of experience in Treasury, Finance, Banking or a related field is preferred.
  • Experience in corporate Treasury operations is an advantage.

Skills

  • Strong analytical, interpersonal and communication skills.
  • High degree of self-motivation, ownership, attention to detail and willingness to learn.
  • Good knowledge of Treasury operations, including cash management, bank transactions, liquidity and cash flow forecasting.
  • Ability to analyze financial data and prepare accurate reports.
  • Good understanding of banking products, loan processes and corporate banking operations.
  • Ability to work effectively with internal and external stakeholders.
What you can expect working with us

At ALPLA, we recognize that true excellence is grounded in core competencies such as accountability, trust, collaboration, effective communication, valuing differences, sound decision-making, and a strong results orientation — all of which guide and define your professional journey with us.

This role is designed for individuals who thrive in dynamic environments, build trust effortlessly, communicate with impact, and put people at the heart of everything they do. It's for those who take ownership, embrace innovation, collaborate naturally, and bring a positive, forward-thinking mindset to the table.

You will be a driving force behind an exceptional employee experience—supporting, inspiring, and shaping every step of the journey.

  • We facilitate a smooth start through individual and accurate training as well as professional guidance and support.
  • We offer you a challenging task with a high degree of personal responsibility.
  • Your individual performance will be remunerated and your development will be supported by us.

Join us to support our efforts in playing an active role in paving the way towards an efficient circular economy in the packaging industry. Sustainability and in particular the environmentally conscious use of resources drive all business activities for ALPLA.

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