Treasury Manager Role
We are seeking a skilled Treasury Manager to oversee daily liquidity management, develop treasury models, and design cash optimization strategies.
Key Responsibilities:
* To own the company's liquidity position, ensuring it remains stable and well-managed
* To build and maintain robust treasury models that inform business decisions
* To create cash optimization strategies that maximize returns while minimizing risk
Requirements:
* A minimum of 8 years' experience in treasury or finance with a tertiary qualification in Accounting or Finance
* A deep understanding of financial markets and their impact on business operations
Benefits:
1. This is a full-time permanent role offering competitive salary and benefits including flexible working arrangements and wellness programs