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
Lead short- and long-term cash flow forecasting, including daily, weekly, monthly, and rolling forecasts with Business Units
Track forecast accuracy, investigate variances, and improve forecasting reliability
Oversee daily cash positions and management activities to ensure sufficient Group funding and liquidity
Manage cash pooling, concentration structures, and intercompany funding
Drive working capital efficiency and optimise cash deployment to close funding gaps
Manage banking relationships and support account rationalisation and treasury structure optimisation
Drive process automation and TMS enhancement/implementation
Use data analytics to strengthen treasury reporting and decision-making
Support internal/external audits and resolution of audit findings
Ensure treasury transactions comply with approved policies
Support treasury close activities and statutory reporting
Requirements
Bachelor's Degree with a min. of 8 years of relevant experience
Expertise in cash forecasting, liquidity management, and working capital optimization
Exposure to treasury transformation initiatives and implementations is desirable
Please email your CV directly to
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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
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