Flexible Work, Better Balance
Job Summary
The Treasury & Banking Operations Manager is responsible for overseeing the organization’s banking relationships, treasury operations, and liquidity management. The role involves managing working capital, trade finance (LCs, BGs), cash flow, and investment planning while ensuring compliance, efficient fund utilization, and timely financial reporting. The position requires strong expertise in treasury accounting, financial planning, and risk management to support strategic business decisions and optimize financial performance.
Key Responsibilities