Treasury Manager
# Cash Management
1. Manage company cash flows, ensuring adequate liquidity.
2. Oversee cash forecasting, budgeting, and reporting.
3. Optimize cash management systems and processes.
# Funding and Financing
1. Develop and implement funding strategies.
2. Manage relationships with banks, financial institutions, and investors.
3. Negotiate loan agreements, credit facilities, and other financing arrangements.
# Risk Management
1. Identify, assess, and mitigate financial risks (e.g., interest rate, currency, commodity).
2. Develop and implement risk management strategies.
3. Monitor and report on risk exposure.
# Investment Management
1. Manage company investments, ensuring alignment with business objectives.
2. Develop and implement investment strategies.
3. Monitor and report on investment performance.
# Financial Planning and Analysis
1. Develop and maintain financial models, forecasts, and budgets.
2. Analyze financial data, identifying trends and areas for improvement.
3. Provide financial insights to support business decisions.
# Compliance and Governance
1. Ensure compliance with financial regulations, laws, and company policies.
2. Maintain relationships with auditors, regulators, and other stakeholders.
3. Develop and implement financial policies, procedures, and controls.
# Team Management
1. Lead and manage a team of treasury professionals.
2. Develop and implement training programs to enhance team skills and knowledge.
3. Conduct performance appraisals and provide feedback.
Similar Jobs
- Audit Officer Job at Taeillo
- Internal Auditor Job at Wandel International
- Accountant Job at Lauvee Beauty Salon
- Internal Auditor Job at Smash Technology
- Hotel Internal Audit Officer Job at Mulligan Hotel
- Credit Control Officer Job at the Advertisers
- Accounting Manager Job at Ascentech Services Limited
- Finance Officer Job at Addosser Investment Limited
- Accountant (Restaurant) Job at CVM Career Company
- Branch Auditor Job at Supersaver Supermarket