Position Overview
One of the largest freehold land banks with integrated township expertise. A trusted developer with 50 years of experience and integrated communities.
Responsibilities
- Manage and oversee the company's cash flow, liquidity, and financial risk to ensure optimal financial health.
- Develop and implement treasury policies and procedures to align with regulatory requirements and company objectives.
- Monitor and assess financial market trends to identify potential risks and opportunities for the organization.
- Collaborate with internal and external stakeholders to optimize banking relationships and ensure efficient transaction processing.
- Prepare and present regular reports on financial performance, investment strategies, and cash flow forecasts to senior management.
- Support the Accounting & Finance department in managing debt facilities and ensuring compliance with loan agreements.
- Lead and mentor a team t...