Financial Strategist
Description
We are seeking a skilled Treasury Manager to join our team.The successful candidate will be responsible for managing and optimizing treasury functions, including cash management, funding, and risk management.Key Responsibilities: Develop and implement treasury strategies to optimize cash flow, funding, and risk management.Manage daily treasury operations, including cash forecasting, funding, and liquidity management.Identify and mitigate treasury-related risks, including interest rate, foreign exchange, and commodity risks.Analyze and report on treasury performance, including cash flow, funding, and risk management.Ensure compliance with regulatory requirements and internal policies.Collaborate with other departments, including finance, accounting, and risk management.Requirements: Bachelor's degree in Finance, Accounting, or related field.Minimum 5+ years of experience in treasury management, with 2+ years in a Big 4 firm or similar experience.Strong understanding of treasury principles, including cash management, funding, and risk management.Excellent analytical, problem-solving, and communication skills.Ability to work effectively in a fast-paced environment.Benefits: This is a full-time position with opportunities for career growth and professional development.You will have the chance to work with a talented team of professionals in a dynamic and supportive environment.We offer a competitive salary and benefits package, including health insurance and retirement plan.This role is open to candidates who are motivated, enthusiastic, and eager to learn and grow. If you are a driven and detail-oriented individual who is passionate about finance and risk management, we encourage you to apply.
Posted: 4th July 2025 11.29 am
Application Deadline: N/A
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