Join our dynamic finance team as a skilled professional in treasury management. A strong growth plan awaits an energetic candidate who excels in financial analysis and risk management.
About the Role:
* Manage foreign exchange hedging activities for business units, mitigating currency risks
* Prepare cash flow forecasts to optimize liquidity and improve cash management processes
* Monitor market conditions to execute money market transactions effectively
* Conduct balance sheet analysis to support informed risk management strategies
* Maintain accurate and up-to-date treasury procedures
Requirements and Qualifications:
* Bachelor's degree in finance or a related field
* Previous experience in corporate treasury or a related field
* Strong analytical, communication, and interpersonal skills
* Proficiency in Treasury Management Systems and Microsoft Office