fbpx

Liquidity and Treasury Management Associate

  • Remote
  • Specialism :
  • Post Date: February 4, 2025
  • Expires In : 90 Days
  • Apply Before: May 6, 2025
  • Applications 0
  • Views 503
Job Overview

Our client is hiring a Liquidity and Treasury Management Associate to support global cash management operations and ensure efficient liquidity planning. This role involves optimizing treasury functions, managing financial risks, and working with banks to streamline fund flows.

You will coordinate with treasury teams, risk managers, and financial institutions to enhance liquidity management frameworks. This position is crucial for ensuring financial stability and maintaining cash flow efficiency.

Responsibilities:

  • Monitor cash flow and liquidity trends.

  • Develop strategies to optimize treasury operations.

  • Ensure compliance with global liquidity regulations.

  • Work with financial partners to improve cash management strategies.

What You’ll Bring:

  • Strong financial modeling and cash flow analysis skills.

  • Experience in treasury operations and liquidity management.

  • Understanding of banking and financial regulations.

  • Ability to optimize financial processes for efficiency.

Qualifications:

  • Bachelor’s degree in Finance, Accounting, or related field.

  • 5+ years of experience in treasury and liquidity management.

  • Certifications such as CTP, CFA, or FRM preferred.

  • Proficiency in treasury management systems.

 

Are you interested in this position?

 

Apply by clicking on the “Apply Now” button below!

#CrossChannelJobs#JobSearch

#CareerOpportunities#HiringNow

#Employment#JobOpenings

#JobSeekers

FacebookLinkedIn     

Liquidity and Treasury Management Associate

Quick Job application form

Shortlist Never pay anyone for job application test or interview.
Employer
Translate »