NFP013965-Roby-1 Become gold Shape the future of banking as a Treasury Manager, leading cutting-edge projects and setting standards in liquidity risk, capital management, and treasury best practices. A multinational Consulting firm international presence is seeking an experienced Treasury Manager to enhance and expand their services to testing, and defining risk appetite. Implementing treasury best practices and controls. As regulations and the treasury environment of a bank (Required) Experience: Preferably at least 5 years, in Treasury / Liquidity
financial data.
The role will also include treasury functions, such as cash flow management, banking
financial reporting
reporting financial data. The role will also include treasury functions, such as cash flow management, banking quarterly financial reporting Responsible for Group treasury function Oversee stock counts and processing of skills. Syspro experience will be an advantage Treasury experience will be a strong advantage Advanced