Position Overview
Step into a key Treasury Manager role at a prominent manufacturing company. This full-time position involves on-site work focusing on investment strategy and cash flow management.
Your primary responsibilities will include preparing detailed economic reports and providing investment recommendations to various stakeholders. A solid foundation in financial performance assessment, along with proficiency in MS Excel and SAP, will be critical for guaranteed success in this role.
Key Responsibilities:
• Create reports and briefings on financial outlooks
• Deliver investment advice to clients and senior officials
• Manage both short- and long-term cash flow strategies
Requirements:
• Experience in treasury management is essential
• Expertise in MS Excel and SAP applications
• Must pass criminal record and driving checks
Leverage your treasury expertise and financial acumen to make a significant impact as a Treasury Manager in a manufacturing environment.
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