
Treasury Professionals
- İstanbul
- Sürekli
- Tam zamanlı
- Manage daily treasury operations, including bank transfers, reconciliations and related processes.
- Prepare and monitor daily cash flow reports, actively managing both inflow and outflow.
- Execute payments (suppliers, tax authorities, employees, etc.) accurately and on time,
- Collaborate with technology teams for POS installations and bank integrations.
- Manage settlement processes for merchant payments.
- Maintain a solid understanding of funding, settlement, and interchange cost structures for both credit and debit cards within the POS ecosystem.
- Negotiate funding costs with banks to optimize merchant pricing strategies.
- Build and maintain strong relationships with banks and financial institutions.
- Participate in financial closing activities
- Deliver accurate and timely financial and operational reporting using Google Sheets, SAP or similar data tools.
- Coordinate with technology teams to ensure accurate data tracking and reporting automation.
- Participating in digital payment system deployment & payment excellence projects.
- Bachelor degree in Business Administration, Economics, Finance or related fields.
- Strong understanding of the Turkish POS ecosystem, funding costs, interchange fees, and settlement processes.
- Ideally experience at tech/payment companies, payment systems funcitons of the banks, digital platforms and operations is preferred.
- Solid reporting and data analysis skills
- Ability to adapt to dynamic and fast-paced work environments.
- Strong communication and negotiation skills.
- Results-driven and hands-on approach.
- Fluent in English
- SAP knowledge will be an asset.
- Strong understanding of financial markets (global and local market updates/ratio analysis, fixed income market, currency market, etc.).