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Full-Time Opportunity: This is a permanent, full-time position with a competitive package and real career growth potential.
Job Description
Job Requirements
- Bachelor's Degree in Accountancy, Banking, Finance, or a related field.
- Minimum of 5 years' experience in corporate treasury.
- Strong exposure to foreign exchange (FX) involving multiple currencies, with proven competency in executing swap transactions.
- Hands‑on, proactive, and able to work independently within a complex organizational structure.
Job Responsibilities
- Responsible for cash management for the company and subsidiaries.
- Maintain a system of policies and procedures for adequate controls over the Treasury function.
- Ensure effective cash management of multiple currencies, Forex, maximising yield of excess cash.
- Manage banking relationships, accounting opening, compliance checks, ISDA.
- Provide Treasury advisory/recommendations to mitigate Group risks.
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