Job Description & Summary
We power what’s next. By enabling the business to deliver its boldest ambitions and keep everything moving. We look for the proactive and collaborative – those who know that enabling others is a strength.
SHAPING TOMORROW
Make a real impact, today, and tomorrow, through work that matters. Here, you will tackle today’s toughest challenges with a future-focused mindset; so our clients turn to us first when it matters most.
Make a real impact
In this dynamic environment, we are looking for ambitious and self-driven Treasury Manager to join our Finance team in Athens.
Cash & Liquidity Management
Monitor daily cash positions and ensure adequate liquidity across all accounts Optimize cash utilization and support investment or financing decisions Develop and maintain rolling cash flow forecasts incorporating business inputs Identify potential liquidity gaps or surpluses and recommend appropriate actions Align forecasts with budget cycles and business planning processesPayments & Treasury Operations
Oversee execution of domestic and cross- border payments Ensure adherence to approval workflows, segregation of duties, supported by robust internal controls Manage bank accounts structures, mandates and treasury systems Coordinate with external banks and financial institutions to support financing and operational needsCredit Control & Receivables
Supervise customer credit assessments Monitor receivables and drive collection efforts in collaboration with the business units Act as a point of contact for receivables-related matters, ensuring responsiveness and professionalism Provide reporting on overdue accounts, bad debts risks and working capital KPIsReporting & Analytics
Design and maintain Power BI dashboards for real-time cash flow visibility Deliver regular and ad hoc reports to senior management with insights and variance analysis Ensure data integrity and consistency across systems and reportsWhat you bring matters
Bachelor’s degree in Finance, Accounting, or a related field; a Master’s degree or professional certification (e.g., ACT, CFA) is a plus Minimum five (5) years of experience in treasury, finance operations, or cash management Proficiency in Power BI and Excel; experience with ERP and treasury systems Strong analytical and problem-solving skills Proven experience in team leadership Ability to collaborate effectively across departments and with external stakeholders Strong verbal and writing skills in English and in GreekBRING YOUR BEST, EVERYDAY
Your skills, integrity, and curiosity make the difference. At PwC Greece, we match that with an environment that brings out your best every day – supported by people who inspire, challenge, and grow with you.
What we offer goes beyond a competitive package. It’s about creating the conditions for you to learn, belong, and deliver impact. That means:
Your work life-balance supported by a hybrid working model Your creativity sparked in collaborative office spaces Your career growing through local and global opportunities Your development advanced with continuous learning and professional certifications Your well-being cared for with extra leave days and wellness initiatives Your perspective valued in an inclusive team where your impact matters
Want to unlock new value by applying your unique perspective and talents? At PwC Greece, you lead by example. Our standards for quality and care are high – and together we surpass them. We redefine possibilities for our clients and communities.
Challenge accepted?
Our circle of connection matters - it’s at the heart of what we do. Click here (PwC life)
All applicants will be acknowledged and treated in the strictest confidence.