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Duties and Responsibilities
The Treasury Manager leads the organization's treasury operations, overseeing cash flow, liquidity, funding, and financial risk management. The role ensures efficient fund management, maintains strong banking relationships, strengthens treasury controls and compliance, and provides strategic financial insights that support business growth and operational objectives.
Basic Function
Qualification Guidelines
Job ID: 151067169
Skills:
Microsoft Excel, Financial Markets, treasury systems, FX investment strategies, Risk management practices, Financial Modeling, Treasury Management, Cash flow modeling, Liquidity planning, Treasury management systems, banking relationships, Banking platforms, Financial Risk Management, Cash Management
Skills:
Advanced Excel, Liquidity Management, Treasury Management Systems, Financial Modeling, Risk Management
Skills:
advanced Excel, treasury management systems, credit facilities, spreadsheet analysis, Philippine banking BSP regulations, ERP platforms, forex trading and settlement processes, Financial Modeling, Banking Products, cash management systems
Skills:
Advanced Excel, Ms Office, covenant monitoring, debt schedules, Internal Controls, treasury systems, cash forecasting, cash positioning, financial analysis, debt compliance, lender reporting, Sox Compliance, financing transactions, cash concentration pooling, Accounting Software, global banking relationships, Bloomberg, payment platforms, liquidity planning, intercompany funding structures
Skills:
Advanced Excel, Liquidity Management, Treasury Management Systems, Risk Management