At TEB, we are looking for a Cash and Precious Metals Senior Manager to join our Treasury team.
This key role is responsible for managing the Bank’s cash and precious metals liquidity efficiently, ensuring secure and optimized cash flow, maintaining optimal levels of foreign currency and gold reserves, adhering to regulations, and strengthening our investment products offering through strategic gold reserve policies and effective transaction management.
Key Responsibilities:
- Manage the Bank’s foreign currency and precious metals stock levels.
- Plan and coordinate domestic and international cash currency supply and transfers.
- Price branch-based cash currency transactions.
- Price branch-based gold and silver transactions.
- Execute gold and silver buy/sell transactions in domestic and international markets to manage the Bank’s positions.
- Monitor and analyze gold and precious metals markets.
- Ensure sufficient liquidity by monitoring gold and silver balances held in foreign bank accounts.
- Facilitate and track the transfer of required gold reserve amounts to the Central Bank (TCMB), in accordance with internal unit notifications and regulatory obligations.
Qualifications:
- Minimum 7 years of experience in banking or financial services.
- Expertise in treasury operations, cash management, and foreign exchange, with strong knowledge of gold market pricing, risk management, and strategic planning.
- Solid understanding of regulatory frameworks (BDDK, TCMB, MASAK, BIST).
- Advanced proficiency in English (written and spoken).
- Strong analytical thinking and crisis management skills.
Be part of a dynamic team where strategy meets precision and contribute to managing one of the most valuable assets of the financial system.