At Keepa, we are looking for a Treasury Supervisor to take ownership of the company’s liquidity management, cash flow operations, treasury activities, and short-term financial planning.
If you are detail-oriented, analytical, responsible, and interested in working in a dynamic and fast-paced environment, we would be excited to have you join our Finance team.
Key Responsibilities
Treasury Operations
Manage and supervise daily treasury operations, bank accounts, and cash movements
Manage payments, collections, and operational liquidity requirements
Monitor account balances, banking transactions, and financial operations
Ensure sufficient liquidity for settlements and the company’s financial obligations
Liquidity & Cash Flow Management
Monitor and manage the company’s cash flow and liquidity position
Prepare and analyze daily and weekly liquidity and cash flow reports
Prepare liquidity forecasts and short-term financial planning
Identify liquidity risks and provide control and mitigation solutions
Optimize idle cash and allocation of financial resources
Financial Planning & Analysis
Plan and manage incoming and outgoing cash flows
Collaborate with Finance and FP&A teams on financial analysis and planning
Participate in short-, mid-, and long-term budgeting and forecasting
Prepare management and analytical reports for senior leadership
Contribute to liquidity financing scenarios and business growth analysis
Banking & Cross-Functional Collaboration
Work directly with banks, PSPs, and financial partners
Support banking negotiations, financing activities, and facility management
Collaborate closely with Finance, Payment, and Operations teams
Improve treasury processes and financial controls
Requirements
Minimum 5 years of relevant experience in Treasury, Cash Management, Finance, or Banking
Experience in fintech, lending, payment, or banking industries is a plus
Strong knowledge of:
Cash Flow
Treasury Operations
Liquidity Management
Budgeting & Forecasting
Experience managing bank accounts and high-volume financial transactions
Strong analytical and data-driven decision-making skills
Advanced proficiency in Excel and financial reporting
Familiarity with Rahkaran software
Knowledge of SQL, Power BI, or analytical tools is considered an advantage
High attention to detail, accountability, and ability to manage multiple financial processes simultaneously
What Matters to Us
Analytical and structured mindset
High accuracy in financial operations
Ability to manage crises and make quick decisions
Strong sense of ownership and accountability
Effective cross-functional communication and coordination skills
Ability to thrive in fast-paced and dynamic environments
ما در کیپا معتقدیم که اعتبار هر فرد، با ارزش ترین دارایی آنهاست و اعتبار شما برای کاهش نگرانی های مالی شما کافی است. چون ما در کیپا امکان خرید اعتباری و اقساطی از گسترده ترین شبکه فروشگاهی در بیش از 10000 نقطه در سراسر کشور را فراهم کرده ایم تا بتوانید امروز با خیال راحت خرید کنید و در ماه های بعد با خیال راحت پرداخت کنید
مهارتهای مورد نیاز
خزانه داریحسابداری خزانهمالی و حسابداریMicrosoft Excel