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Job Summary
We are seeking an experienced Treasury professional to join our Treasury department, with responsibilities spanning cash management and asset-liability management. The role also includes managing banking relationships, evaluating investments, developing policies, and driving strategic treasury initiatives. Prior experience in Treasury is required, and candidates with exposure to FX management, investment management, or banking will be preferred.
Key Responsibilities:
Required Qualifications:
Skills:
Job ID: 149055423
Skills:
Liquidity Management, Cash Management, cash forecasting, KYC processes, Financial Risk Management, treasury analysis, Debt Management, financing activities, banking relationships, hedging activities, treasury administration
Skills:
Treasury Management, Bank Relationships, Cash Forecasting, Project Financing, Cash Management, Trade Management
Skills:
Interest rates, Bloomberg, Fx, Hedging strategies, Cash Management, Treasury Management Systems, Financial Modelling, Financial Risk Management, Capital structuring
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