Job Description: Treasury Manager
Position Overview:
The Treasury Manager is responsible for overseeing all treasury activities within the organization. This includes managing cash flow, liquidity, risk management, and financial planning. The Treasury Manager will collaborate with various departments to ensure efficient financial operations and compliance with regulatory requirements.
Key Responsibilities:
1. Develop and implement treasury strategies, policies, and procedures to optimize cash flow and manage risk effectively.
2. Monitor and manage daily cash positions, ensuring adequate liquidity for operational needs and optimizing investment opportunities.
3. Oversee cash forecasting and budgeting processes to support financial planning and decision-making.
4. Identify and evaluate financial risks and develop strategies to mitigate them, including foreign exchange, interest rate, and credit risks.
5. Coordinate and maintain relationships with banking institutions, ensuring efficient banking services, credit facilities, and positive working capital management.
6. Conduct regular reviews of banking fees, interest rates, and other banking services to identify opportunities for cost savings and process improvements.
7. Collaborate with cross-functional teams to support financing activities, including debt structuring, loan agreements, and capital market transactions.
8. Ensure compliance with all applicable financial regulations, including tax laws, foreign exchange regulations, and debt covenants.
9. Prepare accurate and timely reports on cash flow, treasury activities, and financial risk exposures for senior management and external stakeholders.
10. Stay updated on industry trends and best practices related to treasury management and recommend improvements to enhance the organization's financial performance.
Qualifications and Skills:
1. Bachelor's degree in Finance, Accounting, or a related field. Advanced degree is preferred.
2. Proven work experience of at least 5 years as a Treasury Manager or in a similar role.
3. Strong knowledge of financial markets, treasury operations, and risk management practices.
4. In-depth understanding of cash management, investment strategies, and financial instruments.
5. Proficient in financial analysis, forecasting, and budgeting.
6. Solid understanding of regulatory compliance requirements, including tax and foreign exchange regulations.
7. Excellent analytical, problem-solving, and decision-making skills.
8. Strong interpersonal and communication skills, with the ability to effectively collaborate and negotiate with internal and external stakeholders.
9. High level of integrity, confidentiality, and attention to detail.
10. Proficiency in financial software and Microsoft Office Suite, particularly Excel.
Note: This job description is intended to convey information essential to understanding the scope of the Treasury Manager role. It is not intended to be an exhaustive list of responsibilities, skills, or qualifications associated with the position.