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You will be updated with latest job alerts via emailWhat will you do
Develop and implement strategies for managing the organisations treasury functions
Monitor and analyse financial market trends especially in foreign exchange and provideinsights to support decisionmaking
Execute and manage foreign exchange transactions to optimize currency positions
Assess and manage financial risks related to currency exposure
Collaborate with internal teams to forecast cash flows and ensure liquidity needs are met
Maintain relationships with banks financial institutions and other relevant stakeholders
Prepare reports on treasury and foreign exchange activities for management review
Ensure compliance with regulatory requirements and financial policies
What makes you a great match for us
Bachelors degree in finance CA Business or a related field; MBA or professional financequalification is a plus
Proven experience of 58 years in treasury management with a focus on foreign exchange
Strong analytical and strategic planning skills.
Knowledge of financial markets risk management and regulatory requirements
Excellent communication and interpersonal skills
Proficiency in relevant financial software and tools
Required Experience:
Senior Manager
Full Time