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Treasury Manager

Tel Aviv-Yafo, IsraelFull-time2026-08-09 → 2026-10-08

Core

Managing company liquidity, cash flow, banking relationships, payment operations, and financial risk management to support operations and growth.

Role type

Treasury Manager

Builds

Cash flow forecasts, liquidity analyses, treasury reports, and management presentations

Domain

Finance / Treasury

Required skills

cash management, banking products, financial risk management, advanced financial modeling, analytical skills, Excel proficiency, treasury management systems, ERP systems (NetSuite, Oracle, SAP) (via careerplan.io/jobs/AA-009-B9-D68-treasury-manager-at-sunflower)

Preferred skills

MBA, professional treasury certification, experience in high-growth B2C environments (online, gaming, e-commerce, fintech, digital businesses)

Responsibilities

Manage daily, weekly, and monthly cash positions and liquidity requirements; Prepare and maintain short-term and long-term cash flow forecasts; Monitor and optimize working capital and cash utilization; Manage relationships with banks and other financial institutions; Oversee domestic and international payment operations; Manage credit facilities, bank guarantees, and other financing arrangements; Monitor foreign exchange (FX) exposures and execute hedging strategies; Establish and maintain treasury policies, procedures, and internal controls; Ensure compliance with banking, treasury, and regulatory requirements; Support strategic initiatives, fundraising activities, and M&A transactions from a treasury perspective; Partner closely with Finance, Accounting, Legal, Operations, and Commercial teams; Prepare treasury reports, liquidity analyses, and management presentations for senior leadership

Seniority

Mid-Senior, hands-on IC