Job Purpose
This role is responsible for supporting the company's treasury activities, including liquidity management, cash forecasting, foreign exchange (FX) management, and banking relationship management. The role plays a critical part in ensuring optimal cash utilization, maintaining adequate liquidity, managing financial risks, and supporting the organization's working capital objectives. The position collaborates closely with Finance, Commercial, Trade Finance, Operations, and external banking partners to drive efficient treasury operations and informed financial decision-making.
KEY RESPONSIBILITIES:
Cash & Liquidity Management
Cash Forecasting
Foreign Exchange (FX) Management
Banking Facilities Management
Ad Hoc Responsibilities
Qualifications & Experience
Key Relationships
Skills & Competencies