Overview
This is a newly created Treasury Specialist position to strengthen the organization's global financial backbone. The role involves analyzing financial trends, managing banking relationships, and forecasting cash flows.
Tasks Summary
- Analyzing currency fluctuations and trends
- Keeping FX policy sharp and up to date
- Managing global banking relationships and liquidity
- Forecasting cash flows
- Exploring digital solutions like Stablecoins and wallets
- Handling cross-border payments and compliance
- Tackling ad hoc challenges
Experience Requirements
3-5 years of relevant experience in treasury, banking, or consultancy
Qualification Requirements
Master’s degree in Finance, Business, Economics, or similar