Job Description
Role Description
This is a full-time remote role for a Treasury Manager. The Treasury Manager will be responsible for managing cash flow operations, implementing and maintaining treasury policies, optimizing liquidity, ensuring compliance with financial regulations, and developing risk management strategies to mitigate financial risks. The role also includes preparing and analyzing financial reports, liaising with banks and financial institutions, and supporting strategic financial planning.
Qualifications
- Strong financial and accounting skills, including expertise in managing cash flow, budgeting, and forecasting
- Experience in developing and implementing treasury policies, ensuring compliance, and financial reporting
- Knowledge of financial risk management strategies, foreign exchange, and investment operations
- Proficiency in financial tools, software, and systems
- Excellent analytical, organizational, and problem-solving ...
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