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Job Description
The Treasury Associate will be responsible for supporting financial analysis, liquidity management, interest rate risk assessment, and investment decision-making processes. This role involves working closely with senior management to develop treasury strategies, optimize cash flow, and manage debt and capital-raising activities. The ideal candidate will have strong analytical skills, a deep understanding of interest rate trends, and the ability to manage multiple projects simultaneously.
Key Responsibilities:
Minimum Qualification
Job ID: 153932467
Skills:
capital-raising, management of financial instruments, Liquidity Management, risk assessments, Loans, hedging strategies, financial analysis, Bonds, investment decision-making, Valuation, Derivatives, interest rate risk assessment, Financial Compliance, Cash Flow Forecasting, Debt financing
Skills:
Microsoft Excel, Oracle, SAP, Financial analysis, Financial regulations, Cash Management, Reporting standards, Treasury Operations