Head of Treasury
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Key skills for this role
Role Overview
The Head of Treasury is a part-time, remote role overseeing liquidity, funding, and financial risk management activities.
The role requires independent decision-making, strong analytical judgment, and proactive communication in a remote environment.
Key Skills for This Role
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Role Description
The Head of Treasury is a part-time, remote role overseeing liquidity, funding, and financial risk management activities.
The role requires independent decision-making, strong analytical judgment, and proactive communication in a remote environment.
Responsibilities
- Monitor cash positions and forecast short- and medium-term cash flow needs.
- Optimize available funds and oversee cash management processes.
- Design and implement treasury policies.
- Coordinate with finance and accounting for accurate and timely reporting.
- Evaluate hedging strategies and manage relationships with banks and financial institutions.
- Prepare updates and recommendations for senior leadership.
Qualifications
- Strong treasury management and cash management skills are required.
- Solid finance and hedging skills are required for financial risk management and strategic decisions.
- Advanced analytical skills are required for financial interpretation, forecasting, and treasury strategy.
- Professional experience in corporate treasury, banking, or financial management is required, preferably at a senior or leadership level.
- Proficiency with treasury management systems, financial modeling tools, and spreadsheet software is required.
- The role requires independent work in a remote, part-time setting and clear stakeholder communication.
- A relevant academic background in finance, accounting, economics, or a related field is required.
- CTP or CFA certifications are advantageous.
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