- Extensive experience in Treasury, Cash Management, Investment, Corporate Liquidity and Risk Management
- To oversee the investment, corporate liquidity and risk management of the company.
- To manage the day-to-day efficient utilization of cash to meet the ongoing operational and capital investment requirements of the company
- Must have at least 5 years of solid experience in Treasury
- Must have extensive experience and knowledge in cash management and banking systems
- Someone who has good relationship with investment bankers
- Should be a great team player and has good interpersonal relations
- Has the ability to communicate clearly and effectively
- Graduate of Bachelor of Science in Accountancy or Finance
To apply for this job email your details to email@example.com.
PUp to 300k
30th April 2020
30th June 2020