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Treasury Lead

Netafim

Where
Israel, hybrid
Language, from the listing
No Hebrew mentioned. Mentions EnglishA missing mention doesn't mean Hebrew isn't needed. Ask if it matters to you.
Dates
Found 7 Oct 2026
Last checked on the employer's site
4 h ago (7 Oct 2026)
Source
Employer career page (Comeet)

What they ask for

  • Global cash flow & liquidity management (cash forecasting) at least 3 years - (Must-have experience)
  • Debt management (loans, covenants, banks, refinancing) - (Must-have experience)
  • Strong collections and disbursements analysis (DSO, DIO, DPO, and working capital analysis)
  • Experience in global/multi-currency corporate environments
  • Experience working with cross-functional and international teams
  • BA in Finance / Economics / Accounting (Must-have)
  • MBA in Finance / Economics / Accounting
  • 5+ years of treasury experience in global, multi-currency companies - (Must-have)
  • Proven experience in cash flow and debt management - (Must-have)
  • Experience with SAP / ERP and treasury systems (e.g., JDOX) - (Must-have)
  • Advanced Excel (pivot tables, complex formulas, modeling) and Power Point
  • Fluency in English

The full listing

Description ***Location: Open to candidates across Israel*** Role Overview: The Senior Assistant Treasurer plays a key role in managing and analyzing the Group’s global treasury activities, with a strong and central focus on debt management, global cash flow management, procedures, and processes with a strong business orientation. This role is critical to enable accurate and valuable analysis of the company’s cash flow and debt structure in a complex, multi-currency, global environment. The role requires intensive interfaces with many functions in corporate, operations and globally with the countries' treasury/finance local teams and is expected to Act as a key deputy to the Group Treasurer. Experience: • Global cash flow & liquidity management (cash forecasting) at least 3 years - (Must-have experience) • Debt management (loans, covenants, banks, refinancing) - (Must-have experience) • Strong collections and disbursements analysis (DSO, DIO, DPO, and working capital analysis) • Experience in global/multi-currency corporate environments • Experience working with cross-functional and international teams Requirements Requirements: • BA in Finance / Economics / Accounting (Must-have) • MBA in Finance / Economics / Accounting • 5+ years of treasury experience in global, multi-currency companies - (Must-have) • Proven experience in cash flow and debt management - (Must-have) • Experience with SAP / ERP and treasury systems (e.g., JDOX) - (Must-have) • Advanced Excel (pivot tables, complex formulas, modeling) and Power Point • Fluency in English