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Treasury Executive
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Treasury Executive
drjobs Treasury Executive العربية

Treasury Executive

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1 Vacancy
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Job Location

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Islamabad - Pakistan

Monthly Salary

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Not Disclosed

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Salary Not Disclosed

Vacancy

1 Vacancy

Job Description

Req ID : 2756996

Treasury Executive is primarily responsible for managing an organizations financial assets and liabilities. Their role involves overseeing cash management liquidity risk management and financial planning. Heres a breakdown of the typical job description for a Treasury Executive:

Responsibilities:

  • Cash Management:
  • Monitor daily cash balances and forecast shortterm and longterm cash needs.
  • Implement strategies to optimize cash flow including investments borrowings and cash concentration techniques.
  • Ensure efficient fund transfers between accounts and subsidiaries.
  • Liquidity Management:
  • Develop and maintain liquidity models to assess the organizations liquidity position.
  • Identify potential liquidity risks and develop strategies to mitigate them.
  • Coordinate with various departments to ensure liquidity needs are met.
  • Risk Management:
  • Identify and analyze financial risks including interest rate risk currency risk and credit risk.
  • Implement risk management strategies such as hedging to minimize exposure to adverse market conditions.
  • Monitor compliance with risk management policies and regulations.
  • Financial Planning and Analysis:
  • Assist in the development of financial plans and budgets.
  • Conduct financial analysis to support decisionmaking including variance analysis and scenario planning.
  • Provide recommendations for improving financial performance and efficiency.
  • Relationship Management:
  • Liaise with banks financial institutions and other external stakeholders.
  • Negotiate terms and conditions for banking services loans and other financial products.
  • Build and maintain relationships with key partners to support treasury operations.
  • Compliance and Reporting:
  • Ensure compliance with relevant financial regulations and internal policies.
  • Prepare and analyze treasuryrelated reports for management and external stakeholders.
  • Coordinate with auditors and regulatory bodies during audits and examinations.

Qualifications:

  • Bachelors degree in finance accounting economics or a related field. Advanced degree or professional certification (e.g. CFA CTP) is a plus.
  • Several years of experience in treasury management preferably in a corporate environment.
  • Strong understanding of financial markets instruments and risk management techniques.
  • Proficiency in financial analysis and modeling.
  • Excellent communication and interpersonal skills.
  • Ability to work effectively under pressure and meet deadlines.
  • Attention to detail and a high level of accuracy in financial analysis and reporting.
  • Familiarity with treasury management systems and financial software.

Job Type: Fulltime

Pay: Up to Rs150000.00 per month

Remote Work :

No

Employment Type

Full Time

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