Treasury Specialist

  • Eğitim Lisans
  • İstanbul

Ravago, when it set off on a long journey that began in Belgium in 1961 today selling a bulk of 6,7 million tons to over 50.000 customers with its 325 offices and more than 8000 employees in more than 55 countries is now an established brand working to make a difference in the world every day. With more than 45 active manufacturing plants around the world, the journey to success continues without ever slowing down.

And today under the proud name of Ravago we operate both as manufacturer and distributor in Turkey with our more than 1300 employees, generating more than 10 percent of the global volume of Ravago.

Ravago Turkey as the second biggest producer in petrochemical sector serves in raw material production and disrtribution services which takes place in 13 locations.

Thanks to a R&D team, experienced production teams and an extensive knowledge in the field, we offer a wide product range and are duly ready to fulfill every request for special products not on the market as well as addressing to all kinds of solution seeking requests. We are the first choice not only in our country but also in 50 other countries to which we export and we are among the top 100 biggest industrial enterprises of Turkey.

We are searching for dynamic members for one of our rapidly growing organization Ravago Lojistik at Ataşehir Office;

The successful candidate should have the following experience and skills;

  • Business Administration, Economics or Finance Degree,
  • Minimum 4-5 years of experience in Treasury/ Treasury operations, insurance know-how is a plus,
  • Advanced level of oral and written English,
  • Proficiency in MS Office applications,
  • Strong problem solving, analytical think.



  • Supporting bank relationship management of Ravago Turkey companies,
  • Preparing weekly & monthly cash flow forecasts and ensure timely reporting,
  • Cash Flow management on daily basis, execution and monitoring of the bank operations & transactions,
  • Supporting trade finance operations ( approval of LC issuance & discounting process, LG utilization, renewal & reporting, fee & commission negotiations)
  • FX and interest rate risk management,
  • Assisting month end closing reports.
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