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We're supporting a globally recognized MNC in their search for a Treasury Manager to join their treasury team. In this role, you'll take the lead on shaping the Group's liquidity strategy, overseeing cash flow forecasting and working capital management, and partnering closely with stakeholders and banking relationships to ensure funding and liquidity remain well-managed at all times.
Responsibilities
Requirements
Please email your CV directly to [Confidential Information] in Word format.
Please note that due to the high number of applications, only shortlisted candidates will be contacted. We regret to inform you that your application for this position was unsuccessful if you do not hear from us in the next 5 business days.
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EA License: 16S8131
Recruiter License: R1981753
Job ID: 152522791
Skills:
FX risk management, Cash Management, Liquidity Management, Treasury reporting, Treasury system upgrade, Treasury Management
Skills:
Liquidity Management, Cash Management, corporate financing, Asset Finance, Structured Finance, Project Finance, Loan Syndication
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