ووظائف عرب

Treasury Manager

Kasrawy Group6 أكتوبر
قدّم الآن على موقع المصدر ↗ستنتقل إلى صفحة الإعلان الأصلية على Dr.Job مصر

تفاصيل الوظيفة

Job Summary

Job Title: Treasury Manager

Role Overview

The Treasury Manager is responsible for overseeing the organizations financial planning and management of its treasury activities. This includes managing liquidity investments financial risk (FX and interest rates) and banking relationships. The goal is to optimize the companys financial resources while maintaining strict compliance and internal controls.

Core Responsibilities

Liquidity & Cash Management:

Direct daily cash management operations including cash positioning and concentration.

Develop and monitor meticulous short- and long-term cash flow forecasts.

Oversee global pooling netting and intercompany funding.

Risk Management:

Identify and mitigate financial risks specifically Foreign Exchange (FX) and Interest Rate exposures.

Execute hedging strategies and manage derivative portfolios.

Ensure the organizations insurance and bonding requirements are met.

Banking & Relationship Management:

Act as the primary point of contact for banking partners.

Evaluate bank services negotiate fee structures and manage credit facilities/revolvers.

Optimize bank account structures and KYC (Know Your Customer) documentation.

Debt & Capital Markets:

Assist in the execution of capital market transactions (debt issuance share buybacks).

Monitor covenant compliance for existing credit agreements.

Reporting & Compliance:

Prepare monthly/quarterly treasury reports for the Board of Directors.

Key Skills

  • Restaurant Experience
  • Customer Service
  • Employee Evaluation
  • Management Experience
  • Math
  • Employment & Labor Law
  • Sanitation
  • Leadership Experience
  • P&L Management
  • Mentoring
  • Supervising Experience
  • Restaurant Management

Apply Now

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