Location: Malta
Please note: This role is fully on-site role in Malta (not remote) and the successful candidate will be required to relocate to Malta. This position is open to EU citizens only.
About the Company
Our client is an international aviation company, well-established for over 40 years, with multiple entities and offices across Europe, the USA, and APAC, and a strong global presence.
About the role
In this role you will lead the Group’s treasury and financing function, including cash management, banking relationships, and funding activities across multiple entities and currencies. You’ll provide strategic insight to support financial planning and decision-making, working closely with executives and reporting directly to the group CFO. This is a newly created position at a senior management level, with the opportunity to build and develop the treasury team and shape the function as the business continues to grow.
Responsibilities
* Lead and oversee the Group’s treasury operations, including payment run processing and controls
* Oversee reconciliation of bank incoming and outgoing payments across all Group entities, ensuring accuracy and timely resolution of discrepancies
* Negotiate banking terms, fees, and financing conditions to optimize cost of banking and financing across the Group
* Provide strategic treasury reports, financial analysis, and insights to senior management to support decision-making
* Direct the preparation of cash flow forecasts, liquidity analysis, and scenario planning
* Lead and manage the Group’s financing activities, including relationships with banks and financial institutions
* Manage and optimize the Group’s capital structure, including debt financing, loans, and third-party funding arrangements, ensuring covenant compliance, accurate interest calculations, and timely settlements
* Lead and develop banking relationships, including account structures, KYC processes, and credit facilities
* Act as the primary point of contact for banks, financial advisors, auditors, and regulatory bodies
* Drive improvements in treasury policies, processes, internal controls, and systems
* Build, lead, and mentor a treasury team, setting objectives and managing performance
* Lead strategic and cross-functional finance projects aligned with the Group’s growth
* Participate in internal projects and support overall department operations
Requirements
* University degree in Accounting/ Banking/ Finance or ACCA qualification. CFA qualification is an advantage
* 8 years previous experience in a similar role, including responsibility for financing in an international environment;
* Ability to travel as needed
* Strong analytical and problem-solving skills, with a good eye for detail;
* Excellent organizational skills and maintaining highest standards at all times;
* Excellent written and verbal communications skills in English, and preferably Maltese too;
* Proficient atinterpreting and communicating technical accounting issues;
* Proficient inMicrosoft Office and IT tools;
* Highly motivated, strategic thinker with strong commercial acumen and the ability to operate effectively at Senior Management level, driving decisions in a fast-paced and dynamic international environment.
* Willing to relocation to Malta.
What the Company Offers
This is a great opportunity to join a rapidly growing international company within a dynamic and multicultural environment. The organization offers a collaborative workplace with strong exposure to complex, group-level operations and opportunities for continued professional development. A relocation support package is available if required, along with a comprehensive benefits package including a company car, private health insurance, gym membership, daily meals in the office, employee parking, and other company benefits.