Treasury Manager (Group: Large premium Food Manufacturing Group)
Job Description:
About the Company
A Large Premium food prducers is seeking an experienced Treasury Manager to oversee cash management, banking relationships, funding activities, and financial risk management.
Key Responsibilities
-
Manage daily cash position, liquidity, and cash flow forecasting.
-
Oversee bank accounts, payments, and reconciliations.
-
Manage relationships with banks and financial institutions.
-
Optimize working capital and short-term financing.
-
Monitor and manage FX exposure, interest rate risk, and hedging activities (if applicable).
-
Support funding activities, loans, and credit facilities.
-
Prepare treasury reports for senior management.
-
Ensure compliance with internal controls, treasury policies, and regulations.
-
Support audits and internal reviews related to treasury activities.
Required Qualifications
-
Bachelors degree in Finance, Accounting, Economics, or related field.
-
5–10 years of experience in Treasury, Corporate Finance, or Banking.
-
Strong understanding of cash management, banking operations, and financial instruments.
-
Experience dealing with banks, facilities, and guarantees.
-
Advanced Excel skills.
-
Strong analytical, communication, and negotiation skills.
Preferred Qualifications
-
CMA, CTP, CPA, or similar certification.
-
Experience in [industry: FMCG / Manufacturing / Real Estate / Trading].
-
ERP / Treasury Management System experience.
What We Offer
-
Competitive salary and benefits.
-
Strategic role with high visibility to senior management.
-
Stable environment with growth opportunities.