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Develop and execute investment strategies to optimize the company's excess cash.
Evaluate investment opportunities and make recommendations based on risk-return analysis.
Monitor investment performance and provide regular reports to management.
Identify and assess financial risks, such as interest rate risk, foreign exchange risk, and credit risk.
Monitor market trends and regulatory changes to proactively manage risks and ensure compliance.
Qualifications and Skills:
Bachelor's degree in finance, accounting, or a related field.
Proven experience (typically 5+ years) in treasury management, cash management, or a related financial role.
Strong knowledge of treasury systems and Banking.
Excellent communication and interpersonal skills, with the ability to build relationships with internal and external stakeholders.
Strong analytical and problem-solving abilities.
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Full-time
Senior · 5+ years experience
Onsite
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