Assistant Treasurer

Lumenis HQ - Yokneam · Full-time · Intermediate

About The Position

Lumenis is a global leader in energy-based solutions for Aesthetics and Eye Care. With more than 1000 employees worldwide and sales in over 100 countries, we are headquartered in Yokneam and have offices in Tel-Aviv.

We are looking for a hands-on Assistant Treasurer to join the Finance team and support Lumenis global treasury operations. The role combines day-to-day cash management, cash-flow forecasting, banking operations, collections support, credit exposure monitoring and treasury-related financial processes. This is a high-impact role for someone who enjoys execution, accuracy, collaboration across regions, and continuous improvement in a global environment.

If you want to work in an innovative, international environment and help push the boundaries of healthcare, well-being, and energy-based technology, this is your opportunity!

Main Responsibilities

Cash Flow & Liquidity Management

·      Drive daily cash-position monitoring and support global cash-routing activities, including Israel cash-flow management and cash routing to Israel.

·      Prepare and maintain weekly and monthly cash-flow forecast files, track actual cash movements, and support short- and long-term liquidity planning.

·      Support RCF usage optimization and unit-supply cash needs across relevant business units.

·      Banking, Treasury Operations & Closing

·      Maintain bank-account and signatory-rights requirements, coordinate banking-system access and support ongoing bank-account maintenance.

·      Prepare bank reconciliations and treasury-related SAP entries, including quarterly closing inputs, instruction emails, exchange-rate files and hedging fair-value support.

·      Provide treasury services and operational support to finance, regional and commercial stakeholders.

Collections, Credit Exposure & Insurance

·      Partner with regions, sales and controllers to support worldwide collections, overdue follow-up, customer credit checks and order-release processes.

·      Monitor credit exposure and support adherence to Credit & Collection policies.

·      Cross-Functional Collaboration & Projects

·      Work closely with Controllers, Regions, Sales, Technical, Legal and Finance teams to resolve treasury, collection and credit topics.

·      Support treasury projects such as TMS implementation, AI-enabled collection improvements, credit-policy refresh and financing-solution optimization.

·      Identify process improvements and help standardize treasury workflows across regions.

Requirements

·      Bachelor degree in Economics, Business Administration, Accounting or Finance.

·      1+ years of experience in treasury, finance operations, accounting, cash management, credit, collections or a similar analytical finance role - advantage.

·      Experience with SAP R/3 or another ERP system - advantage.

·      Strong Excel and Microsoft Office skills; ability to work with complex data files and recurring reports.

·      Fluent English, written and spoken - must.

·      Accounting knowledge and understanding of financial processes - advantage.

·      Hands-on, proactive and able to make things happen independently.

·      Structured, accurate and systematic; comfortable managing multiple priorities in a matrix organization.

·      Strong analytical skills and attention to detail.

·      Assertive, service-oriented and persistent, with strong follow-up discipline.

·      Excellent communication and collaboration skills across cultures and functions.

·      Curious and improvement-oriented, with willingness to learn systems and treasury processes.

Why Join Us

This is an opportunity to join an innovative, international company and become part of a global finance organization that supports business growth, operational discipline and strong financial control across markets.


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