Finance / Accounting
- Cash management: Monitor and manage daily cash flow, ensuring sufficient liquidity for operations and investments. - Financial risk Management: Analyze financial risks and develop strategies to mitigate them, including interest rate and foreign exchange risks. - Investment strategy: Develop and implement investment strategies for surplus cash, optimizing returns while managing risk. - Measured by KPIs related to cash flow management, risk mitigation success, and investment performance. - Banking relationships: Establish and maintain strong relationships with banks and financial institutions to support financing needs. - Reporting: prepare and present cash flow forecasts, liquidity reports, and risk assessments for senior management. - Compliance: ensure compliance with financial regulations and internal policies related to treasury activities. - Team leadership: supervise and mentor treasury staff, promoting professional development and best practices. - Project support: collaboration with other departments on financial projects, providing insights into funding and cash management.
- Education: Bachelor’s degree in finance, Accounting, or related field; - Experience: Minimum 5 years in treasury management or finance, preferably in a holding group or multi-entity environment. - Skills: Strong analytical and problem-solving skills, excellent communication, and proficiency in treasury management software and financial modeling.
According to the company's policies
master’s or professional certification (CMA, CFA) preferred.
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