Treasury Strategist
12 hours ago
A pivotal role in the investment, securities, and funds sector, overseeing treasury functions to drive financial excellence.
This position involves expertly managing liquidity, funding, and risk to ensure optimal cash flow and stability.
About this RoleThe Head of Treasury will develop forward-thinking strategies to maximize financial resources while mitigating risks associated with currency fluctuations and interest rates.
Main Responsibilities- Develop and implement comprehensive treasury policies and procedures to optimize cash management and funding strategies.
- Monitor and manage the organization's liquidity position, ensuring adequate cash flow to meet operational needs.
- Conduct thorough risk assessments and develop strategies to mitigate financial risks, including interest rate and foreign exchange risks.
- Oversee the investment of surplus funds, ensuring compliance with investment policies and maximizing returns.
- Collaborate with other departments to forecast cash flow requirements and identify funding needs.
- Lead and mentor the treasury team, fostering a culture of continuous improvement and professional development.
- Prepare and present treasury reports to senior management and stakeholders, providing insightful analysis into financial performance.
- Maintain relationships with banks and financial institutions to negotiate favorable terms for financing and investment.
- Ensure compliance with regulatory requirements and internal controls related to treasury operations.
- Proven experience in treasury management within the investment or financial services sector.
- Strong analytical skills with the ability to interpret complex financial data.
- Excellent leadership and team management abilities.
- Effective communication skills, both written and verbal.
- High level of integrity and ethical standards in financial practices.
- Ability to work under pressure and meet tight deadlines.
- Strong problem-solving skills and attention to detail.
- Proficiency in treasury management systems and financial modeling tools.
- Advanced knowledge of financial regulations and compliance requirements.
- Ability to build and maintain relationships with internal and external stakeholders.
- Expertise in cash management and liquidity forecasting.
- Strong understanding of financial instruments and markets.
- Proficiency in risk management techniques and strategies.
- Advanced analytical and quantitative skills.
- Excellent negotiation and relationship management skills.
- Familiarity with treasury management software and ERP systems.
- Strong organizational and project management skills.
- Ability to work collaboratively in a team environment.
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