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Treasury Senior Specialist

Treasury Senior Specialist

Liferay
4-6 Years
Not Disclosed
Early Applicant
  • Posted a month ago
  • Be among the first 10 applicants

Job Description

Main Purpose:

The Treasury Senior Specialist is responsible for supporting the daily treasury operations, ensuring optimal liquidity management, and contributing to the overall financial health of the organization. This role requires a strong understanding of banking practices and corporate treasury functions.

Area of Responsibility:

  • Cash and Liquidity Management: Manage daily cash positioning, monitor bank balances, and execute fund transfers to ensure optimal liquidity across all accounts.
  • Treasury Operations: Oversee and execute core treasury tasks, including managing banking relationships, processing electronic payments, and managing guarantees/letters of credit.
  • Reporting and Analysis: Conduct regular analysis of cash flows, interest exposure, and foreign exchange risks to support effective decision-making.
  • System Utilization: Utilize and maintain the Treasury Management System (TMS) to ensure accurate reporting and efficient process execution.
  • Compliance: Ensure compliance with internal controls, treasury policies, and regulatory requirements related to cash and debt management.
  • Stakeholder Management: Collaborate effectively with internal departments (e.g., Accounts Payable, General Ledger) and external banking partners.

Educational Qualification:

Bachelor in Finance

Work Experience:

  • 4–5 years of relevant professional experience, preferably gained within banking operations or a corporate treasury function.
  • Strong foundational understanding of cash management, liquidity forecasting, and general treasury operations.
  • Experience working with a Treasury Management System (TMS) is required; experience with SAP is preferred.

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