Job Summary
A company is looking for a Treasury Manager to oversee treasury operations and support cash management activities.
Key Responsibilities
- Manage day-to-day funding needs and prepare consolidated cash forecasts
- Supervise daily borrowing and oversee cash management and banking relationships
- Maintain treasury management systems and ensure compliance with internal controls and policies
Required Qualifications
- 7+ years of experience in corporate treasury with expertise in cash operations and liquidity management
- Experience with domestic and international funding transactions and treasury systems
- Strong understanding of internal controls and regulatory requirements, including SOX compliance
- Bachelor's degree in Finance, Accounting, Economics, or a related field
- Proven track record of managing treasury processes across multiple entities and jurisdictions
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