Karrier Hungária
We are looking for a FINANCE MANAGER - TREASURY for our multinational client's team. This is a hands-on, strategic treasury role where you will take ownership of treasury operations, shape processes, and directly influence cash management, risk, and financial strategy. 

Main responsibilities:

  • Manage cash, liquidity, and intercompany funding
  • Oversee bank relationships, bank accounts, letters of credit, and bank guarantees while monitoring fees and compliance
  • Lead foreign currency risk management, hedging programs, and interest rate risk strategies
  • Prepare cash forecasts, compliance reports, and support global Treasury and Accounting teams on intercompany and regulatory matters
  • Supervise a small treasury team (1–2 direct reports)
  • Support strategic capital market initiatives, acting as liaison to internal departments and New York-based Treasury leadership
  • Take ownership of transitioning responsibilities


Required skills:

  • 8+ years of treasury experience, ideally in smaller, fast-moving organisations 
  • Hands-on experience with cross-border payments, cash management structures, and bank documentation
  • Adaptable and proactive in evolving settings, with the ability to build effective treasury processes
  • Strong leadership skills, proactive, confident, and able to influence senior stakeholders
  • Excellent communication, analytical, and problem-solving skills


What our partner can offer to you:

  • Lead a key finance function
  • Opportunity to design and implement treasury processes in a growing organisation
  • Exposure to international projects