Unlock Career Growth as a Treasury Expert
* Support the strategic management of cash flow and banking relationships.
* Aid in forecasting liquidity requirements and operational funding needs.
* Execute comprehensive treasury transactions, including money market and foreign exchange activities.
Required Skills and Qualifications:
1. Liquidity Forecasting Abilities : Strong analytical skills to forecast cash inflows/outflows, ensuring efficient treasury operations.
2. Treasury Systems Familiarity (ERP/Excel): Experience with widely used ERP systems or proficiency in Excel-based tools for data analysis.
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