Location
Szczecin
Job Type
full-time
Posted
July 01, 2026
Job Description
Job Description
Your main area of responsibility in this position will include:
- Work in area for Treasury:
- Monitor daily cash positions and forecast future cash needs
- Execute cash management strategies
- Prepare and analyze cash flow projections and reports
- Oversee short-term investments and manage excess cash efficiently
- Collaborate with external and internal stakeholders to reconcile cash balances and resolve discrepancies
- Conduct risk assessments and implement strategies to mitigate financial risks
- Assist in the preparation of treasury-related financial reports for management
- Stay updated on market trends and regulatory changes affecting treasury operations
- Support audits and compliance efforts related to treasury functions - Work in area for Outgoing payments:
- Process and man...
Ready to Apply?
Submit your application for Accountant - Treasury & Payments Team at METRO Global Solution Center Szczecin
Apply Now