We are seeking a skilled Financial Operations Specialist to join our expanding finance team.
About the Role:
* Support foreign exchange hedging activities and execute transactions for business units, ensuring accurate cash flow forecasts and optimal liquidity management.
* Enhance financial processes, drive improvements in cash management systems, and monitor short- and long-term financial requirements.
* Conduct comprehensive balance sheet analysis, support hedging strategies, and maintain robust treasury procedures.
* Deliver timely and accurate reports, oversee daily cash position reporting, and prepare actionable forecasts.
Requirements:
* Bachelor's degree in a related field or equivalent experience.
* Previous experience in corporate treasury or financial operations.
* Strong analytical and communication skills with ability to work collaboratively across teams.
* Proficiency in Treasury Management System and Microsoft Office applications.
Packages:
* Competitive compensation package based on experience.
* Performance-based bonus and pension scheme.
About this Opportunity:
This is an excellent chance to develop your career in financial operations and contribute to the success of our finance team.