Treasury & Accounting Professional

Job ID:  3968
Location: 

Istanbul, TR, 34870


We are looking for a Treasury Professional (f/m/d) to join our team at Innomotics – A Siemens Business. 


Innomotics is a leading global supplier of high voltage, medium and low voltage products and solutions for the minerals, oil and gas, marine and other industries, and services. We are a company in constant growth. We are a dynamic work environment with skilled employees.

 

Your change engine.
Motors and drives are our business, redefining reliable motion from check-time per day to uptime per lifecycle, from simply on/off to everything smart in between. Our most powerful engine: more than 15,000 dedicated experts, doers, colleagues. For them, engineering the future means keeping businesses in motion – in e-motion. We are the “we” in power – and we can empower you.


15,000 and counting. 
Are you looking for the stability of an established global player with the lean, innovative spirit of a mid-size hidden champion? That’s us! Are you looking to shape entire industries with a future-proof portfolio of more sustainable, energy efficient solutions? Deal, let’s go!


The role.

As part of our preparation to become a stand-alone company, we are searching for a committed Treasury professional to join our team.

 

Your Responsibilities.

  • Manage bank accounts, payment infrastructure and liquidity planning for Innomotics.
  • Handle day-to-day cash management Operations and support internal audits.
  • Monitor and execute liquidity planning and cash management transactions.
  • Manage the relationship with bank partners and negotiate contracts (e.g. Banking service agreements, loan agreements, Treasury agreements) evaluate the bank and maintain the business relationship.
  • Sets out and implements principles for Currency Management in the company to limit or eliminate foreign currency risks result from fluctuations in foreign exchange rates.
  • Identifies, manages, and executes currency hedges.
  • Monitors contingent foreign currency risks in project business and updates offer calculation rates.
  • Advises the company in all aspects of currency management and related risks, develops, and performs respective trainings.
  • Financial closing activities and financial statements preparation for local Financial Reporting (Inc. TFRS)
  • Cooperation in Corporate Tax certification and Independent Audit procedures
  • Understanding of the tax regulations and tax return filing. 
  • Cooperation with commercial business responsible and Innomotics Accounting Hub.
  • Implementation of accounting policies, guidelines and working instructions and adaption of related processes for Innomotics Türkiye. 
  • Continuous process improvement via digitalization and the usage of accounting relevant technology. 
  • Support of global initiatives e.g. M&A, carve-in/out.
  • Regular knowledge sharing and exchange.

 

Yor Qualifications.

  • Bachelor’s degree in economics, Business Administration, Finance, Banking
  • Minimum of 3 years of professional work experience in Treasury / Corporate Finance, preferably in an international company, a consulting company, or an international bank. Experience in cash management experience is a plus
  • Work experience in digital innovation and/or project management is desirable.
  • Fluent in English.
  • Excellent analytical and communication skills, with the ability to influence relevant stakeholders including bank partners, business controllers, CFO’s, accounting, legal, and tax departments.

 

Make your mark in our exciting world. #JoinReliableMotion #TeamInnomotics