Senior Treasury Specialist (Ukrainian language proficiency required)
welltech
Lithuania
Posted Aug 21, 2026
- Full-time
- Remote
- Finance
Job description
**Who Are We?** Welltech is a global wellness technology company with Ukrainian roots. Our mission is to build and scale wellness apps globally through state-of-the-art, tech-driven performance marketing. We are one of the most established players in the wellness app space, and we are accelerating. Over 25.5 million people across the world use our apps — Muscle Booster, Yoga-Go, and WalkFit — to build healthier habits, move more, and feel better every day. Every subscription represents a real person making a real change in their life, and we take that seriously. With 500+ people across hubs in Cyprus, Ukraine, Poland, Spain, and the UK, we combine the scale of a market leader and the drive of a team that's just getting started. ## **About the role** In this role, you'll take ownership of core treasury operations that are essential to the smooth running of a global business. You'll work across **banking, KYC, liquidity support, and treasury administration**, while also acting as a reliable backup across broader treasury activities. Beyond day-to-day treasury operations, you'll have the opportunity to **lead and implement automation and AI initiatives that improve the efficiency, accuracy, and scalability of treasury processes**. This is an exciting opportunity for someone who wants to deepen their expertise in true treasury work while also driving meaningful process and technology improvements in an international environment. ## **Key Responsibilities** ### **Banking and treasury operations** - Manage relationships with banking partners across multiple jurisdictions - Support bank onboarding, account opening, account maintenance, and related documentation - Coordinate KYC and other compliance requirements with financial institutions - Administer banking platforms, including user access, signatories, and security controls ### **Cash and liquidity management** - Monitor daily cash positions across the group - Support cash flow forecasting and liquidity planning - Help ensure efficient allocation of funds across entities and markets - Partner with internal teams on cash planning and payment-related activities ### **Investments, FX, and reporting** - Support short-term liquidity placements in line with treasury policies - Assist with monitoring investment activity, performance, and reporting - Support foreign exchange transactions and track currency exposures - Prepare treasury reports for management and key stakeholders, including cash position, liquidity, and forecast reporting ### **Systems, controls, and process improvement** - Help administer and improve the Treasury Management System - Ensure bank connectivity, user management, and data quality are maintained - Support internal and external audit requests related to treasury activity - Identify opportunities to improve treasury processes, strengthen controls, and increase automation ## **Required skills:** ### Must have: - 3+ years of experience in **treasury or a closely related finance function** - Hands-on experience with banking operations, cash management, and cash flow forecasting - Experience managingKYC, bank documentation, and bank relationship support - Understanding of payment flows, approval processes, ERP-driven finance operations, and treasury controls. - Identify and lead opportunities to improve treasury processes, strengthen controls, and implement automation and AI solutions. - Strong analytical skills and confidence working with financial data and reporting - Ukrainian fluency is mandatory and English proficiency B2 is essential. ### **Nice to have:** - Experience in an international or multi-entity business - Exposure to foreign exchange, short-term investments, or a Treasury Management System - Familiarity withinternational banks and multi-jurisdiction operations ## **Candidate journey** ⭕️ Recruiter call --> ⭕️ Meet a team member --> ⭕️ Skills assessment--> ⭕️ Meet the Leadership team