Strategic Cash & Liquidity Manager; Treasury
Position: Strategic Cash & Liquidity Manager (Treasury)
A financial services firm is seeking a Treasury Cash Management Manager to reputed company cash operations and liquidity strategies. This role involves managing bank relationships, optimizing cash reputed company, and ensuring compliance with regulations. The ideal candidate will have a degree in Finance or reputed company, considerable experience in treasury or cash management, and strong analytical skills. This position offers a hybrid/remote work model.
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