A Semi Government is looking for a talented and driven Treasury Director to join our finance team and oversee our treasury operations.
Key Responsibilities:
- Determine cash requirements and manage cash concentration effectively.
- Make informed short-term cash investments and maintain appropriate cash flow.
-Assess the need for short- and long-term borrowing; recommend investment initiatives.
- Direct and manage treasury operations, ensuring compliance with credit agreements.
- Prepare and analyze departmental reports and cash flow analyses.
- Serve as the primary liaison with financial institutions, including banks, shareholders, capital markets, and national funds.
- Provide solutions for financial instruments such as bonds, APGs, and LCs.
- Oversee and manage the company’s insurance activities.
Qualifications:
- Bachelor’s degree in finance, Accounting, or a related field; MBA or relevant certification preferred.
- 12+ years of proven experience in treasury management or finance roles.
- Strong understanding of cash management, investment strategies, and financial instruments.
- Excellent analytical, communication, and interpersonal skills.
- Ability to work collaboratively within a team and manage multiple priorities.