SKELAR
Venture Builder
HeadofTreasury
Neural analysis suggests this role is
optimal for Senior candidates.
“Head of Treasury at SKELAR. Skills: Liquidity and cash-flow management, Bank relationship and development, Risk management and finance controlling, Treasury policies and compliance matters. Liquidity and cash-flow management within the Group. Cash-flow planning”
What You'll Achieve.
provide top-notch service and competitive advantages for our businesses
Industry & Context.
Exceptional analytical, strategic thinking, and problem-solving skills
paid business travel where the role requires it
What They're Looking For.
Must Have
8+ years of progressive experience in corporate treasury, banking, or financial management roles, Proven track record of hiring, developing, and leading an effective teams, Extensive experience in managing the full treasury function, including treasury accounting, foreign exchange, liquidity, cash flow, and various financial instruments, experience in cooperation with international and Ukrainian banks, with a solid understanding of Ukrainian regulatory requirements and collaboration practices between resident and non-resident companies, Proficiency in English at B2 level or higher (both written and verbal), Understanding of relevant regulatory frameworks (e. g. , AML Directives, OECD, BEPS), depending on industry and region, Exceptional analytical, strategic thinking, and problem-solving skills, interpersonal and communication abilities, with the capability to build effective relationships across departments and regions, Demonstrated leadership and stakeholder management skills, with a focus on collaboration and business impact
What You'll Do.
Liquidity and cash-flow management within the Group
Structuring international money flows across subsidiaries to ensure effective centralization of
Optimizing working capital by increasing credit lines from core
Managing financial instruments to ensure market yield on free financial resources
Bank relationship and development
Ensure relationships with core banks and finance
Expand the network of banks to ensure each subsidiary is covered by Tier-1 bank accounts and
Implement new payment methods to enhance speed and cost-effectiveness of payment flows
Risk management and finance controlling
Controlling counterparty risk
Treasury policies and compliance matters
Establish treasury policies
Participate in establishing proper documentation of transactions to ensure smooth cash-flow movement within the
Support KYC processes and compliance requests from banks
How You'll Work.
Team & Collaboration
build effective relationships across departments and regions; stakeholder management skills, with a focus on collaboration and business impact
Communication Scope
Proficiency in English at B2 level or higher (both written and verbal); interpersonal and communication abilities
Full Job Description
[https://app.ashbyhq.com/api/images/user-content/586ac3cb-f234-40cf-96fd-3daae8c41309/3a2721ac-0cf6-4bb5-a785-483b8d1018c3/Ashby_header.png] What should you know about SKELAR? It's a venture builder — in other words, a company that builds companies. Together with founders, we create consumer businesses that become leaders in global markets across EdTech, Mental Health, Petcare, FashionTech, and beyond. Our teams build tech products that win recognition from Product Hunt and The Webby Awards, earn thousands of glowing Trustpilot reviews, and reach over 10 million users worldwide. That kind of impact doesn't happen by accident — it starts with exceptional people, and our people are our top priority. We've built an environment where expertise meets opportunity, and where there's no ceiling on what you can achieve. Now we're looking for the kind of people who don't just want a job — they want a challenge. We are currently looking for Head of Treasury to join our team. Direct reporting to: CFO About the Treasury Team: This team efficiently manages SKELAR’s cash flow and liquidity, improving and implementing new payment methods, and develops and leads relationships with key financial partners. We handle treasury matters of any complexity “end-to-end” to provide top-notch service and competitive advantages for our businesses. Responsibilities: [1] Liquidity and cash-flow management within the Group: - Cash-flow planning and forecasting; - Structuring international money flows across subsidiaries to ensure effective centralization of liquidity; - Optimizing working capital by increasing credit lines from core suppliers; - Managing financial instruments to ensure market yield on free financial resources. [2] Bank relationship and development: - Ensure strong relationships with core banks and finance partners; - Expand the network of banks to ensure each subsidiary is covered by Tier-1 bank accounts and services; - Implement new payment methods to enhance speed and cost-effec
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