
Aerodyne Group is a global DT3 (drone technology, data technology & digital transformation) enterprise solutions provider specializing in drone data and AI-powered analytics to solve complex…

Aerodyne Group is a global DT3 (drone technology, data technology & digital transformation) enterprise solutions provider specializing in drone data and AI-powered analytics to solve complex…
What You’ll Do:
• Manage daily cash position & liquidity
• Review cash flow statements & forecasts
• Monitor budgets & spending
• Optimise cash across accounts & entities
• Support hedging & minimise interest/forex leakages
• Handle bank relationships & funding discussions
• Process payments & liaise with AR/AP
• Perform weekly bank reconciliations
• Maintain treasury files & financial records
• Support tenders and prepare status reports
• Assist management with ad-hoc tasks
What We’re Looking For:
• Diploma/Degree in Finance/Accounting/Banking
• Strong analytical & cash flow management skills
• Detail-oriented, organised, proactive
• Proficient in Excel & financial systems
📩 Apply Now: treasury@aerodyne.group
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