Our client is seeking a Senior Manager of Treasury. In this role you will oversee on analyst and be responsible for the organization\'s financial risk and liquidity. This includes developing and implementing policies and procedures for managing cash flows, , debt management strategies, foreign exchange, and interest rate risk. The Senior Manager also works closely with other Finance areas, Asset Management, and Legal departments to ensure the organization has adequate funding and access to capital markets and financing to achieve its re-development and capital renewal plans.
This will entail area of funds management, debt management, project accounting and people management.
Requirements
We require 5+ years of senior treasury experience coupled with management. You must demonstrate ability to analyze financial data and identify errors and trends. Superior oral and written presentation skills are required to report to upper management and diverse audiences. You must be able to identify and implement business process improvements. In depth knowledge of financial markets and regulations. Knowledge or real estate is highly beneficial. This role is a hybrid work arrangement with excellent work life balance and outstanding benefits including pension.
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