We are looking for a Treasury Manager to oversee liquidity management, banking relationships, risk management, and investment strategies. This role is crucial for ensuring financial stability, optimizing cash flow, and mitigating foreign exchange & interest rate risks.
Key Responsibilities:
1. Banking & Liquidity Management
✅ Monitor and manage banking relationships and ensure smooth financial operations.
✅ Oversee daily cash management to maintain adequate liquidity.
✅ Forecast medium & long-term funding requirements and prepare financial projections.