• Job Description

    • Strengthening the company's asset and liability management with structured borrowing and treasury strategies;
    • Preparing monthly/quarterly/annual forecasts and variance reports against the company's realized results;
    • Implementing fx and interest rate risk management strategies;
    • Managing relations with global funding providers including financial institutions, impact funds and development institutions;
    • Tracking risks and opportunities to assess macroeconomic drivers and their corresponding impact on Tarfin's financial performance.

    Successful Applicant

    • Min 7 years of experience in corporate finance functions of financial institutions, large corporates or financial consultancy and advisory companies.
    • You have experience in financial analysis, modeling and forecasting to strategize funding needs.
    • You are an excellent team-player with strong oral/written communication skills, eager to learn and develop.
    • Result oriented analytical thinker with multi-tasking abilities.
    • Excellent verbal and written English and Turkish skills.