Job Description:
The candidate will be responsible for ensuring a healthy cash flow between various divisions in the company.
Responsibilities include but are not limited to:
Responsibilities:
financial risks. Key Responsibilities: Manage daily treasury functions including cash management, forecasting
financial risks. Key Responsibilities: Manage daily treasury functions including cash management, forecasting
the company's cash management systems (including online banking and treasury management system) and
Manage the company's cash management systems (including online banking and treasury management system) and
Manage the company's cash management systems (including online banking and treasury management system) and
reconciliations.
Cash Management /Treasury
reconciliations.
Cash Management / Treasury:
investment strategies, private wealth management and treasury solutions. - Manage and administer the