Reference: NFU011371-Matt-1 Are you a treasury accountant looking to step into a diverse environment liquidity, mitigate risks, and assist in developing treasury policies. Responsibilities include overseeing
now to shape the future of finance with us. Lead treasury oversight and cashflow management for subsidiary
Consolidate Group Management Accounts. Manage Group Treasury and ensure fund optimization. Analyse future investment
such as accounts payable, cost accounting, and treasury duties. It involves generating financial reports