Job Purpose:
Oversee treasury operations by developing and implementing cash flow and risk management strategies ensuring adequate liquidity effective banking relationships and compliance with treasury policies and controls.
Key Responsibilities
Treasury Policies & Risk Management
-
Develop and implement treasury policies including foreign exchange and risk management frameworks.
-
Identify assess and report on interest rate currency liquidity and counterparty risks.
-
Maintain internal controls to safeguard financial assets.
Cash & Bank Management
-
Manage daily cash flow to ensure sufficient operational liquidity.
-
Oversee bank account structures and optimize fund transfers.
-
Negotiate banking terms to minimize transaction costs and improve interest returns.
-
Monitor daily bank balances interest rates and market exposure.
Treasury Operations
-
Review daily treasury P&L and cash position reports.
-
Coordinate short-term funding investments and internal financing requirements.
-
Ensure accurate and timely issuance of invoices and collection updates.
-
Provide management with regular cash and liquidity reports.
People & Process Management
-
Supervise treasury staff ensuring efficient workload distribution and professional development.
-
Support continuous improvement of treasury systems and processes.
-
Manage departmental budget within defined limits.
Qualifications & Experience
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Bachelors degree in Accounting or Finance; professional certification (e.g. CA CPA) preferred.
-
Minimum 5 years accounting or treasury experience ideally within an industrial environment.
-
Proven experience developing financial processes and controls.
-
Proficiency in SAP FI/CO modules required.
Job Purpose: Oversee treasury operations by developing and implementing cash flow and risk management strategies ensuring adequate liquidity effective banking relationships and compliance with treasury policies and controls. Key Responsibilities Treasury Policies & Risk Management Develop and impl...
Job Purpose:
Oversee treasury operations by developing and implementing cash flow and risk management strategies ensuring adequate liquidity effective banking relationships and compliance with treasury policies and controls.
Key Responsibilities
Treasury Policies & Risk Management
-
Develop and implement treasury policies including foreign exchange and risk management frameworks.
-
Identify assess and report on interest rate currency liquidity and counterparty risks.
-
Maintain internal controls to safeguard financial assets.
Cash & Bank Management
-
Manage daily cash flow to ensure sufficient operational liquidity.
-
Oversee bank account structures and optimize fund transfers.
-
Negotiate banking terms to minimize transaction costs and improve interest returns.
-
Monitor daily bank balances interest rates and market exposure.
Treasury Operations
-
Review daily treasury P&L and cash position reports.
-
Coordinate short-term funding investments and internal financing requirements.
-
Ensure accurate and timely issuance of invoices and collection updates.
-
Provide management with regular cash and liquidity reports.
People & Process Management
-
Supervise treasury staff ensuring efficient workload distribution and professional development.
-
Support continuous improvement of treasury systems and processes.
-
Manage departmental budget within defined limits.
Qualifications & Experience
-
Bachelors degree in Accounting or Finance; professional certification (e.g. CA CPA) preferred.
-
Minimum 5 years accounting or treasury experience ideally within an industrial environment.
-
Proven experience developing financial processes and controls.
-
Proficiency in SAP FI/CO modules required.
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