Treasury Finance Specialist Jobs in Tunisia
Job Description
Treasury Finance Specialist – Crowe Tunisia
Company: Crowe Tunisia
Location: Sousse, Tunisia
Work Location: Novation City, Sousse
Job Type: Temporary (Maternity Cover Position)
Industry: Finance, Treasury, Accounting, Cash Management, Financial Services
Salary: Not Specified
Job Overview
Crowe Tunisia is seeking a detail-oriented and analytical Treasury Finance Specialist to join its team in Sousse, Tunisia. This temporary position is designed to cover a maternity leave period and offers an exciting opportunity for finance professionals with expertise in cash management, treasury operations, foreign exchange (FX), liquidity planning, financial reporting, budgeting, and ERP systems.
The role is office-based in Novation City, Sousse, while supporting a flexible and healthy work-life balance within a collaborative and dynamic work environment.
This opportunity is ideal for professionals searching for finance jobs in Tunisia, treasury specialist jobs, accounting careers, financial analyst jobs, cash management roles, foreign exchange jobs, banking operations careers, ERP finance jobs, controlling jobs, and corporate finance opportunities.
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About the Company
Crowe Tunisia operates in the professional services and financial consulting sector, delivering high-quality expertise in finance management, treasury operations, accounting, auditing, and business advisory services.
The company promotes a modern work culture, emphasizing professional growth, flexibility, teamwork, and continuous process improvement.
Job Purpose
The Treasury Finance Specialist will be responsible for managing daily treasury and cash operations, including bank account management, foreign currency monitoring, liquidity forecasting, FX reporting, financial analysis, budgeting, payment approvals, and treasury process optimization.
The selected candidate will contribute to ensuring efficient cash flow management, financial stability, and accurate treasury reporting while supporting internal and external stakeholders.
Professionals interested in financial controller jobs, treasury analyst careers, accounting jobs, banking finance roles, financial planning jobs, cash flow analyst positions, ERP finance careers, and multinational accounting opportunities are encouraged to apply.
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Key Job Responsibilities (JD)
Daily Cash & Treasury Management
The selected candidate will:
- Manage daily cash flow operations of bank accounts in local currency.
- Oversee foreign currency bank account transactions.
- Monitor cash positions and treasury balances.
- Ensure efficient liquidity management.
Foreign Exchange (FX) Management
Responsibilities include:
- Managing FX ordering and hedge monitoring.
- Supporting foreign currency requirements.
- Maintaining and updating FX rates within ERP systems.
- Preparing detailed FX performance reports.
Financial Forecasting & Budgeting
The Treasury Specialist will:
- Create monthly rolling balance sheet forecasts.
- Prepare cash flow forecasts and budgeting reports.
- Develop annual financial planning and treasury projections.
- Process finance-related queries from stakeholders.
Financial Reporting & Analysis
The role includes:
- Conducting deviation analysis between forecast and actual performance.
- Preparing reports comparing budget versus actual performance.
- Providing financial commentary and recommendations.
- Supporting internal and external stakeholder reporting.
Treasury Process Optimization
Additional duties include:
- Improving treasury systems and forecast tools.
- Enhancing efficiency in financial operations.
- Supporting treasury transformation initiatives.
- Participating in treasury improvement projects.
Banking Operations & Compliance
The successful candidate will:
- Review and approve payment orders.
- Process bank account openings and integrations.
- Manage banking authorization and power of attorney documentation.
- Prepare foreign trade reports for government authorities.
This role is highly suitable for candidates searching for treasury jobs, finance officer jobs, financial planning analyst roles, accounting specialist jobs, foreign exchange specialist jobs, banking operations careers, financial reporting jobs, and corporate treasury positions.
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Education Requirements
Required Qualification
Applicants should possess a:
- University Degree in Accounting, Finance, or a related discipline
Preferred fields include:
- Accounting
- Finance
- Economics
- Business Administration
- Financial Management
- Banking & Treasury Management
Experience Requirements
Candidates should have:
- Minimum 2 years of professional experience in:
- Accounting
- Treasury Management
- Financial Controlling
- Cash Flow Management
- Corporate Finance
Experience in financial reporting, ERP systems, treasury operations, liquidity planning, banking systems, and cash forecasting will be highly advantageous.
Required Skills & Competencies
Technical Skills
Strong knowledge in:
- Treasury Management
- Cash Flow Forecasting
- Liquidity Planning
- Financial Reporting
- Budgeting & Forecasting
- Foreign Exchange (FX) Operations
- Financial Analysis
- Banking Operations
- Treasury Compliance
Software & Systems Knowledge
Applicants should have experience using:
- Advanced Microsoft Excel (mandatory)
- ERP Systems (preferred)
- Financial Reporting Tools
- Banking Platforms
Language Requirements
Candidates should demonstrate:
- Good written and spoken English skills
Core Competencies
Ideal applicants should possess:
- Strong analytical thinking
- Attention to detail
- Problem-solving ability
- Initiative and independent decision-making
- Organizational and planning skills
- Effective communication skills
- Ability to work with minimal supervision
Salary & Benefits
Salary
Salary is not specified and will likely depend on:
- Professional experience
- Technical finance expertise
- Treasury knowledge
- Company compensation structure
Additional Benefits
Employees may benefit from:
- Flexible working environment
- Healthy work-life balance
- Exposure to treasury and financial management operations
- Professional development opportunities
- Experience in multinational finance systems
This role is ideal for professionals seeking temporary finance jobs, treasury analyst careers, accounting positions, ERP finance roles, cash management jobs, financial operations careers, corporate finance opportunities, and multinational treasury jobs.
Training & Career Development
The selected candidate may receive exposure and training in:
- Treasury reporting systems
- FX management processes
- ERP finance operations
- Cash flow forecasting
- Financial analysis and reporting
- Treasury optimization tools
Why Join Crowe Tunisia?
Working with Crowe Tunisia offers an opportunity to:
- Work in a modern and collaborative finance environment
- Build treasury and accounting expertise
- Gain exposure to foreign exchange and liquidity management
- Improve financial planning and analytical skills
- Contribute to meaningful treasury projects
How to Apply
Interested candidates should prepare:
- Updated CV/Resume
- Educational certificates
- Finance and accounting experience records
- Treasury or controlling experience documents
- Professional references
Applicants with experience in treasury management, accounting, cash management, financial reporting, ERP systems, FX operations, budgeting, liquidity forecasting, and banking operations are encouraged to apply early.