Responsibilities: - Ensure efficient and accurate daily cash forecasting to support timely execution of payments.
- Perform payment transactions, FX operations, and payroll processing through banking platforms with high accuracy.
- Manage financial securities, including checking guarantees, maintaining databases, and ensuring correct processes from tender to contract execution.
- Reconcile bank accounts, verify vendor banking details, and maintain correct documentation archiving.
- Prepare and submit required financial and treasury reports to relevant national authorities and external agencies.
- Collaborate with internal departments such as Contracts & Procurement, Legal, and HR on matters related to payments, bank guarantees, and vendor/employee financial transactions.
Requirements: - Higher education in Finance or Economics with relevant work experience (0–5 years depending on level).
- Experience in treasury or banking operations is preferred.
- Knowledge of SAP or similar accounting/ERP systems.
- Understanding of international accounting standards, practices, and policies.
- Strong cash management skills, high attention to detail, and strong integrity in control processes.
- Ability to work effectively in a multicultural environment with strong communication and time‑management skills.
Terms:
- Work in a team of experts in their field.
- Temporary vacancy.
- Official employment under the Labor Code of the Republic of Kazakhstan.
- Career opportunities in a large company.
If you are looking for an opportunity to develop in a dynamic company and have the necessary skills and experience, we will be glad to see you in our team!