
Treasury Staff
3 days ago
Treasury staff are responsible for managing an organization's financial assets, ensuring liquidity, and managing cash flow and financial risks. They oversee various aspects of the company's finances, including cash management, investment strategies, debt financing, and risk mitigation. Their duties can range from handling daily transactions and reconciling accounts to advising management on key financial risks and developing long-term financial strategies.
Core Responsibilities:
Cash Management:
-Managing daily cash positions, forecasting cash flows, and ensuring sufficient funds are available to meet operational and investment needs.
Financial Reporting:
-Preparing financial reports, reconciling accounts, and ensuring accuracy and timeliness of financial data.
Investment Management:
-Selecting and managing investments, optimizing investment portfolios, and ensuring compliance with investment guidelines.
Debt Financing:
-Managing debt financing activities, including borrowing, repayment, and refinancing.
Risk Management:
-Identifying, assessing, and mitigating financial risks, including currency and interest rate risks.
Compliance:
- Ensuring compliance with financial regulations and reporting requirements.
Job Type: Full-time
Benefits:
- Opportunities for promotion
- Paid training
- Promotion to permanent employee
Work Location: In person
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Treasury Staff
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Treasury Staff
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treasury staff
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Treasury Supervisor
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Makati City, National Capital Region, Philippines Consistent Frozen Solutions Corporation Full time ₱1,500,000 - ₱2,500,000 per yearBRIEF DESCRIPTIONThe Treasury Supervisor is responsible for managing the company's cash flow, fund allocation, and banking transactions to ensure smooth and efficient financial operations. The role oversees cash management, payment processing, and bank relations while ensuring compliance with company policies and financial controls.DUTIES AND...
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treasury assistants
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UK Treasury Assistant
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Treasury Manager
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Treasury Associate
1 day ago
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