Treasury & Consolidation Lead

inDrive
inDrive

Accounting & Finance

Kazakhstan

Posted on Jun 9, 2026
The Treasury & Consolidation Lead owns the organization's consolidated cash flow — from budget collection through fact recording and allocation — and leads the preparation of financial reporting for management, governing bodies, and external stakeholders. The role acts as the financial backbone connecting operational teams (via Business Partners), the accounting function, and senior leadership.

Operating across multiple funds and jurisdictions, the incumbent ensures that cash is available where and when it is needed, that risks are identified proactively, and that all financial movements comply with applicable currency and
regulatory requirements. As a consolidating and analytical role, the Treasury & Consolidation Lead provides management with a complete, reliable, and forward-looking view of the organization's financial position at all times.