About This Opportunity
Step into a key Treasury Manager role at a prominent manufacturing company. This full-time position involves on-site work focusing on investment strategy and cash flow management.
Your primary responsibilities will include preparing detailed economic reports and providing investment recommendations to various stakeholders. A solid foundation in financial performance assessment, along with proficiency in MS Excel and SAP, will be critical for guaranteed success in this role.
Key Responsibilities:
β’ Create reports and briefings on financial outlooks
β’ Deliver investment advice to clients and senior officials
β’ Manage both short- and long-term cash flow strategies
Requirements:
β’ Experience in treasury management is essential
β’ Expertise in MS Excel and SAP applications
β’ Must pass criminal record and driving checks
Leverage your treasury expertise and financial acumen to make a significant impact as a...