Description
SKELAR is hiring a Treasury Analyst for its office-based team in Warsaw, Poland. The role manages day-to-day treasury operations across multiple entities, including cash-flow forecasting, intragroup and international payments, cash-balance monitoring, FX exposure, banking communications, fee control, and management reporting. The analyst will also contribute to process improvements, automation, and AI-driven treasury solutions, with the role expanding toward independent liquidity, FX, and treasury infrastructure management. Candidates need 3–4 years of treasury or finance experience, strong analytical and Excel skills, international payment experience, and B2+ English; financial modelling and ACCA progress are preferred.
