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Showing 9 jobs
Skills:
commercial business partnering, Financial Modelling, Forecasting, Strategic Planning, budgeting
Skills:
FX risk management, Cash Management, Liquidity Management, Treasury reporting, Treasury system upgrade, Treasury Management
Skills:
cash flow analysis , risk management, Hedging, Cash Management, Fund Management, process improvement, banking transaction regulations, treasury functions, policy governance, financial solutions
Skills:
Fund transfers, Interest rate hedging strategies, Process improvement, fx hedging, Treasury reporting, Cash Management, Risk Hedging Management, Borrowing strategies, Cash Treasury Operations
Skills:
Cash Management, global cash management policies, strategic capital advisory, Risk Mitigation, foreign exchange exposure hedging, hedging strategies
Skills:
Data Analytics, Liquidity Management, working capital optimization, treasury transformation, Cash Flow Forecasting, TMS enhancement, Process Automation
Skills:
Loan Syndication, Structured Finance, Liquidity Management, Cash Management, Trade Finance, Corporate Treasury, Project Finance, Corporate Banking
Skills:
Financial Risk Management, Treasury controls, Hedging strategies, Cash forecasting, Intercompany funding, Cross-border transactions, Treasury Operations, Cash and liquidity management, banking relationships
Skills:
treasury systems, digital banking platforms, Cash Management, FX risk, liquidity planning, Banking Operations
