İş RadarıTüm ilanlar
Aktif Ofis İstanbul, Türkiye Yayınlandı · 28.09.2026 LinkedIn Jobs Türkiye

Finance Manager

Çalık Enerji

We, as Çalık Enerji, offer the energy from nature to the people to build a better and sustainable future. Since its establishment in 1998, the company has become one of the world’s leading energy firms, successfully executing projects across Europe, the CIS, the Middle East, Central Asia, Africa, and the Balkans. Operating in Poland, Hungary, Romania, Switzerland, Turkmenistan, Uzbekistan, Libya, Iraq, and Senegal, Çalık Enerji focuses on three main business lines: EPC Contracting, Distribution & Retail, and Renewable Energy Investments. We are looking for a Finance Manager in Çalık Enerji Headquarters located in Istanbul. Qualifications Bachelor's degree in Finance, Economics, Business Administration, Accounting, or a related field. Minimum 10 years of relevant finance and treasury experience, including at least 3 years in a managerial position. Strong knowledge of cash flow management, budgeting, financial analysis, and reporting processes. Experience in managing bank guarantees, letters of credit, and other financial instruments. Understanding of financial risk management principles and practices. Advanced command of written and spoken English. Advanced MS Office skills, particularly Excel. Advanced knowledge of SAP financial processes and controls. Experience with SAP FI and treasury-related modules is preferred Strong analytical thinking, problem-solving, and decision-making skills. Proven ability to work effectively with cross-functional and international teams. Strong organizational skills with the ability to manage multiple priorities in a dynamic project environment. Responsibilities Oversee company and project-based financial operations to support profitability targets and business objectives. Monitor and analyze company revenues, costs, and financial performance, providing regular reports and recommendations to management. Manage cash flow planning, treasury operations, and related financial reporting processes. Prepare, coordinate, and monitor annual budgets, forecasts, and budget realization analyses. Ensure the effective management and tracking of bank guarantees, letters of credit, and similar financial instruments issued to clients, subcontractors, and suppliers. Support the implementation and monitoring of financial structures established for newly awarded projects. Provide financial guidance to project teams regarding local regulations and financial practices in existing and new markets. Monitor foreign exchange, interest rate and liquidity risks and recommend appropriate mitigation strategies. Coordinate the preparation of financial reports, performance analyses and management presentations to support strategic decision-making. Lead and develop the finance team while ensuring compliance with company policies, procedures, and governance standards. Prepare and present treasury, financing and liquidity reports to senior management and executive leadership. Lead the procurement, renewal and management of cash and non-cash credit facilities, including loans, guarantees, letters of credit and other banking products.
Bu ilan LinkedIn Jobs Türkiye kaynağından doğrulandı. Başvuru özgün kaynakta tamamlanır.
Özgün ilanda başvur ↗
Bu ilanda sorun mu var?