Head of Treasury

Travelier

Travelier

Accounting & Finance

Ramat Gan, Israel

Posted on Apr 13, 2026

Head of Treasury

  • Finance
  • Ramat Gan, Israel
  • Senior
  • Full time

Description

Travelier, formerly known as Bookaway Group, is a travel-tech company, revolutionizing ground and sea transportation for travelers. Travelier’s network of digital platforms allow customers to instantly buy intercity tickets to ferries, buses and trains in local markets which can be usually complex, enabling stress-free travel across the globe.

As Travelier continues to rapidly grow and expand globally, the treasury function faces increased complexity in managing banking relationships, systems, and tools to support our global treasury operations. In this role, you will take charge of shaping the vision and strategy of the Treasury function.

As the Head of Treasury, you will be responsible for establishing and leading the company’s foundational treasury function, with full oversight of cash management, liquidity planning, and foreign exchange activities. In this capacity, you will play a central role in building and advancing Travelier’s treasury capabilities from the ground up, while ensuring the function’s roadmap is strategically aligned with and actively supports the company’s broader business objectives.

In this role you will:

  • Focus on operational excellence, developing and maintaining best-in-class treasury processes and controls, and leveraging automated solutions to support Travelier's growth.
  • Manage and oversee the company's group cash requirements, including daily liquidity, focusing on improvement opportunities and ensuring proper controls and procedures.
  • Build, own and manage treasury policies, procedures, systems, and controls for effective cash management, risk mitigation, and regulatory compliance.
  • Build and maintain strong relationships with banking partners and financial institutions, supporting worldwide banking system administration.
  • Establish foreign exchange risk policy and implement strategies to manage and mitigate FX exposures.
  • Produce accurate and timely treasury reports for senior stakeholders, including presentations to executives and the Board of Directors.
  • Forecast and plan cash flow to ensure cash optimization and the availability of sufficient funds for ongoing operational and capital investment requirements.
  • Lead strategic initiatives and provide strategic advice and financial analysis to support decision-making across the company.
  • Support the maintenance of the company’s global insurance portfolio.

Requirements

  • Bachelor’s degree in Finance, Economics, or Accounting; MBA preferred.
  • Minimum 5 years of treasury experience in a global company with complex cash and FX activities. B2C experience an advantage
  • Strong analytical and problem-solving skills.
  • Proficient in MS Office programs, particularly Excel. proficient in Google Suite (Google sheet etc.) is a big advantage
  • Experience with banking operations, foreign exchange, and implementing technology-based Automated Treasury solutions.
  • Excellent communicational (both verbal and written) skills- both English and Hebrew.
  • Enjoy working in a fast-paced and autonomous environment
  • Demonstrate a strong sense of ownership and urgency; a problem-solver who takes initiative and is able to prioritize and execute tasks;
  • Strong knowledge of capital and currency markets, accounting, finance, and tax.
  • Experience with Treasury Management Systems and Netsuite is an advantage.
  • Experience in the payments industry is an advantage