Exciting treasury opportunity with top engineering company
Are you passionate about finance and driven to ensure sound financial health for a leading company? We're seeking a Treasury Manager with strong analytical skills and experience in cash management, foreign currency, and investment strategy.
What You'll Do
Monitor and analyze global cash positions.
Develop and implement treasury policies.
Prepare cash forecasts and management reports.
Optimize investments and foreign exchange strategies.
Collaborate with banking partners.
What You'll Need
Bachelor's degree in Finance, Accounting, or a related field.
8+ years of relevant treasury experience.
In-depth knowledge of financial modeling.
Experience working with international currencies and interest rates.
Excellent communication and collaboration skills.
What They Offer
Opportunity to shape financial strategy at an industry leader in infrastructure development.
Competitive compensation and benefits.
A dynamic and supportive work environment.