Treasury Manager
- Quantum-Systems GmbH
- Kyiv, Ukraine
- €36,000 – €54,000
Quantum Systems next-generation unmanned solutions across air, land, and sea. From advanced aerial drones to underwater and ground platforms, our systems combine cutting-edge hardware with AI-driven software for seamless control and real-time data insights. Trusted by defense, security, and public sector clients worldwide, we redefine mission versatility and performance.
Quantum-Systems is a strong supporter of Ukraine and has it’s local Ukrainian office since 2022.
As a Treasury Manager, you will be responsible for managing cash flows, ensuring sufficient liquidity, overseeing payments, and maintaining banking relationships.
This is a full-time office job. Candidates must be located in Kyiv.
What is your Day to Day Mission:
- Monitor cash balances and ensure adequate liquidity levels.
- Prepare and maintain the payment calendar and ensure timely payments.
- Prepare short- and medium-term cash flow forecasts.
- Monitor accounts receivable, accounts payable, and working capital.
- Manage relationships with banks regarding accounts, foreign currency transactions, credit facilities, and other financial instruments.
- Prepare regular reports on liquidity, cash flow, AR/AP, and working capital.
Requirements
Requirements:
- 3+ years of experience in Treasury, Cash Management, or Corporate Finance.
- Experience managing cash flow, liquidity, and working capital.
- Experience working with banks and financial instruments.
- English — Intermediate or higher.
- Strong analytical and organizational skills, with high attention to detail.
Why Quantum-Systems:
- We Stand with Ukraine!
- We believe in the power of combined efforts: straightforward tech expertise paired with a customer-centric focus.
- We are industry pioneers who are ambitious, bold, and visionary.
- We push limits, think outside the box, and strive for technological excellence to shape the future of aerial data.
- We promise to be your runway for individual and professional growth.
Skills
- Cash Flow Forecasting
- Liquidity Management
- Working Capital Management
- Bank Relationship Management
- Foreign Exchange
- Financial Reporting
- ERP Systems








