Senior Cash Management Coordinator

Nea Smyrni, Attica, Greece on site Until 8/22/2026 First posted January 30, 2026 Last posted January 30, 2026
Job description

The Senior Cash Management Coordinator oversees and performs treasury tasks, ensuring streamlined financial operations.

Main Accountabilities

  • Manages corporate bank accounts, REOCO Accounts and Clients Expenses Accounts for all Group Entities
  • Monitors Clients Collections Accounts and oversees / forecasts incoming and outgoing cash effectively
  • Ensures timely payments, addresses delays and fees, and performs ongoing bank reconciliations
  • Liaises with banks to address any account issues and queries
  • Prepares monthly financial reports for Management and Clients
  • Develops strategies to optimize cash position of the Group
  • Predicts cash requirements and cash position through budget analysis and financial reports
  • Forecasts weekly / monthly cash position (direct cash flow approach) using receipts and disbursements implements standard procedures to improve efficiency in cash collections, transfers, disbursements, and reporting
  • Monitors financial debt covenants and cash requirements and coordinates payments
  • Monitors intragroup cash requirements and suggests efficient cash transfer mechanisms.
  • Creates new systems to optimize cash inflow and reduce credit risk
  • Collaborates with other Finance units in the follow-up of past due receivables and payment discrepancies

Requirements

Education, Experience and Technical Skills

  • Bachelor’s Degree in Finance, Accounting or Economics from an accredited college or university
  • Master’s Degree will be considered as an asset
  • Minimum 5 years of experience in Accounting/Finance
  • Minimum 3 years of experience specifically in accounts payable or treasury operations
  • Excellent verbal and written communication skills in English and Greek
  • Computer literacy, advanced use of MS Excel and MS Powerpoint. Familiar with ERP software
  • Excellent skills in reporting and data analytics
  • Ability to analyze issues and to improve or simplify work processes

Competencies

  • Demonstrates accountability by taking ownership of decisions and actions.
  • Adapts to change and proposes innovative solutions to business challenges.
  • Focuses on customers, understanding and exceeding their needs.
  • Acts proactively to solve problems and seize opportunities.
  • Upholds professional ethics and ensures compliance with company standards.
  • Collaborates effectively and shares knowledge to achieve team goals.

Benefits

Here’s what you can look forward to as part of the #CepalTeam:

  • Competitive Compensation : We offer an attractive salary, annual performance-based bonuses, and a monthly meal allowance through our ticket restaurant card.
  • Health: Private medical insurance is provided for you and your family.
  • Family Support: Monthly financial allowance for early education (nursery) and coverage of expenses for children with neurodiversity or disabilities—including therapeutic swimming, music therapy, horse riding, and parental support.
  • Flexible Work Model: Our hybrid approach offers a level of remote work flexibility that supports work-life balance while preserving strong collaboration and team spirit.
  • Modern Workspaces: Contemporary offices designed to support comfort, health, and productivity, with fully equipped workstations, quiet areas, on-site restaurant, and group fitness sessions .
  • Lifelong Learning: Cepal supports continuous learning through access to e-learning platforms and structured professional development programs.
  • Career Progression: We are committed to your growth, offering a clear development path supported by feedback, mentoring, and personalized learning plans.
  • Make a Difference: Get involved in regular wellbeing, ESG and volunteering initiatives that reflect our values and foster a sense of purpose and community.

At Cepal, we believe that inclusion is more than a value, it's a way of thinking and acting. As members of the Diversity Charter Greece, we are committed to fostering a workplace where every individual feels respected, empowered, and free to contribute meaningfully.

All applications are treated fairly, confidentially, and based solely on qualifications and merit.

About this role

Summary

Oversees treasury operations, manages cash flow, performs financial analysis, and optimizes cash processes.

Job title

Senior Cash Management Coordinator

Experience level

5+ years

Industry

finance

Location requirements

Nea Smyrni, Greece; hybrid/remote work allowed

Salary

Not specified

Management role

No

Skills & keywords

Required skills

financeaccountingtreasuryMS ExcelERP

Preferred skills

data analyticsreportingproblem solving

Specializations

cash managementtreasuryaccounts payablefinancial reporting
Locations

Structured locations inferred from the posting.

Nea Smyrni, Greece

Hybrid City