Treasury Department Manager

نظرة عامة على الوظيفة

  • تاريخ الإعلان
    أبريل 13, 2026
  • الموقع
  • تاريخ إنتهاء الصلاحية
    يونيو 18, 2026

المسمى الوظيفي

411_3178489

About the job Treasury Department Manager

  • Cash Management: Monitoring daily cash positions, forecasting short-term cash needs, managing bank accounts, and ensuring sufficient liquidity.
  • Investment Management: Evaluating and selecting appropriate investment instruments, monitoring performance, and ensuring compliance with company policies.
  • Risk Management: Identifying and assessing financial risks (e.g., foreign exchange, interest rate), implementing risk mitigation strategies (e.g., hedging, insurance), and ensuring compliance with regulations.
  • Banking Relationships: Maintaining and managing relationships with banks and financial institutions, negotiating favorable terms, and ensuring efficient banking operations.
  • Financial Planning: Developing and implementing cash flow forecasts, preparing financial reports, and supporting capital structure and debt management strategies.
  • Policy and Procedures: Developing and implementing treasury policies and procedures, ensuring compliance with financial regulations and internal controls.
  • Team Management: Managing and developing a team of treasury professionals, providing guidance, and ensuring effective performance.

المتطلبات

  • +6 years of experience
  • Bachelor or Master’s Degree in Finance

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2026-03-27 08:35:31