TREASURY BACK OFFICE SPECIALIST
Precision, responsibility and financial operations – does this sound like you?
In the world of commodities, financial markets and international trade, details matter. We are looking for a colleague who enjoys precision, well-organized data, and responsibility for properly completed transactions to join our team.
This is not a routine back-office role. You will be part of treasury, hedging, and administrative operations in a company with an international reach.
Detail makes the difference. Just like the people who can keep it under control.
What will you do?
- Control and reconciliation of transactions
- Working with treasury documentation and contractual agenda
- Communication with banks, brokers and business partners
- Entering and checking data in our systems
- Reporting and support for internal audits
- Support of hedge operations
- Opportunity to gradually take on broader responsibility and substitutability within the trading agenda
Who are we looking for?
- Very good Excel skills
- Communicative level of English
- Precision, independence and a high level of responsibility
- Ability to work in an environment where quality and deadlines matter
- Willingness to develop and learn
Advantage will be:
- Experience in treasury, banking, financial back office or financial operations
- Experience with treasury management systems (TMS)
- Knowledge of settlement processes
- Experience with hedging
- Knowledge of additional foreign languages
What we offer:
- Stable background of the traditional international company Metalimex
- Opportunity to gain deeper insight into treasury and financial markets
- Professional growth and broader responsibility
- Close cooperation with traders
- A combination of operational and specialized work
- Modern offices in Prague
- A competitive salary and benefits
We are not looking for a perfect CV – we are mainly interested in a person who wants to grow and develop with us.
Interested in this role? Get in touch with us.
Become part of the Metalimex team.