Job Opportunity
We are seeking a professional to manage foreign currency risk and oversee short-term liquidity. The ideal candidate will have experience in a commercial corporate, financial services business, or accounting firm.
Key Responsibilities
* Manage currency exchange risks
* Oversee cash flow management with Shared Services
* Assist the Treasury Manager with group risk management programs and reporting
The successful candidate will be self-motivated, proactive, and analytical, with strong problem-solving skills. They will also possess excellent communication and team-working abilities.