We are seeking a detail-oriented and experienced Treasury Manager to oversee our organization's financial resources and ensure effective cash management. The ideal candidate will manage banking relationships, monitor cash flow, and implement treasury policies and procedures.
Key Responsibilities:
* Manage daily cash operations and ensure adequate liquidity.
* Develop and maintain banking relationships.
* Monitor and forecast cash flow.
* Implement and maintain treasury policies and procedures.
* Manage investments and mitigate financial risks.
Required Skills:
* Strong knowledge of treasury principles and practices.
* Excellent analytical and problem-solving abilities.
* Proficiency in financial modeling and forecasting.
* Ability to work independently and as part of a team.
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