TREASURY MANAGER
Experienced Treasury professional with 9+ years of progressive responsibility across cash management, liquidity planning, banking relations, FX transactions, and treasury operations. Proven ability to manage multi-entity cash flows, optimize treasury processes, and ensure compliance with banking and internal policies. Strong background in supervising teams and supporting senior leadership in funding and financial risk decisions.
CORE SKILLS & COMPETENCIES
Cash Management & Cash Flow Forecasting Liquidity Planning & Fund Sourcing
Banking Relations & Loan Management
FX Transactions & Trade Finance
Treasury Policies & Internal Controls
Financial Reporting & Reconciliation
Team Supervision & Process Improvement
Strong Communication & Stakeholder Coordination