Titan Materials Group

Group Treasury Officer

ID 2025-24585
Posting Location : Location
GR-Athens
Category
Finance and Accounting
Position Type
Full-Time
Workplace Type
Hybrid
Seniority Level
Mid-Senior level

Overview

TITAN Group is seeking an experienced Group Treasury Officer to join our Group Treasury team, based at TITAN’s Head Offices in Athens, Greece. This role reports to the Group Treasurer & Corporate Finance Director and plays a key role in supporting Group Treasury’s activities, including trading, hedging, and reporting.

 

The Group Treasury Officer will actively participate in business and relationship discussions with banks and financial institutions, monitor and present key macroeconomics drivers, analyze structured products and proposals and take part in the execution of financing transactions. In addition, the role will collaborate with and support country finance teams on treasury-related matters across the Group.

Responsibilities

Key responsibilities

 

  • Monitor and manage foreign exchange (FX), interest rate (IR), and commodity risks.
  • Analyze financial scenarios and risks, evaluate hedging structures, and perform sensitivity analyses.
  • Monitor investment performance as it relates to the market conditions and provide performance update to management on a weekly basis.
  • Participate in negotiations with banks and financial institutions and manage documentation for ISDA/CSA and other financial agreements.
  • Conduct collateral management and monitor CO2 market data.
  • Prepare business plans, presentations, reports addressed to Banks, financial institutions, credit rating agencies and to internal Executive Management.
  • Execute budget forecasting for FX, IR and macroeconomic factors.
  • Support the implementation of Group Treasury initiatives and projects.
  • Support and interact with local BUs in day-to-day financial operations and monitor local BUs hedging transactions and bank relationships to ensure completion of transactions. Provide first level support to local finance teams regarding treasury issues.
  • Conduct Group’s Treasury internal reporting, such as financial statements, group covenants, WACC, Bloomberg reports.

Qualifications

Candidate Profile

 

Education & Experience

  • Bachelor’s degree in Economics, Finance, or Business Administration.
  • MSc in Finance, MBA, or relevant professional qualification is an asset.
  • Minimum 8 years of experience in corporate finance, ideally within a bank, advisory firm, or corporate treasury department.
  • Solid understanding of financial markets, funding instruments, and treasury products.
  • Experience in financial modelling and Bloomberg is a strong plus.

Skills & Competencies

  • Excellent analytical and organizational skills, with strong attention to detail.
  • Effective communication and negotiation abilities.
  • Proven team player, able to collaborate across functions and geographies.
  • Strong time management and ability to work under tight deadlines.
  • Sound understanding of legal and accounting principles of funding instruments.
  • Proficient in MS Office (Excel and PowerPoint).
  • Fluency in English (written and spoken); knowledge of French will be considered an asset.
  • Military Obligations completed (if applicable).

Personal Attributes

  • High integrity, reliability, and professionalism.
  • Adaptability and resilience in a dynamic environment.
  • Continuous improvement mindset and openness to learning.

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