remote
Treasury Manager - Platform - skelar
Software Engineer
Seeking a Treasury Manager to oversee financial operations, manage cash flow, and implement treasury strategies. This role requires strong financial planning and risk management skills.
About the role
Key Responsibilities
- Manage and optimize the company's cash flow and liquidity.
- Develop and implement treasury strategies to support business growth.
- Oversee financial risk management, including currency and interest rate exposure.
- Prepare financial reports and analyses for senior management.
- Ensure compliance with financial regulations and internal policies.
- Collaborate with internal teams on financial planning and forecasting.
Requirements
- Proven experience in treasury management or a similar financial role.
- Strong understanding of cash flow management and financial planning.
- Proficiency in financial reporting and analysis tools.
- Experience with risk management strategies.
- Excellent communication and interpersonal skills.