Our client, is seeking a finance professional to oversee treasury operations and support enterprise risk initiatives within a growing industrial environment. This role is focused on managing liquidity, optimizing financial controls, and strengthening risk oversight across the business. You will work cross-functionally with finance, commercial, and external partners while contributing to governance and reporting processes.
Responsibilities
- Manage cash flow planning, liquidity forecasting, and treasury reporting activities
- Maintain banking relationships and support capital structuring and funding requirements
- Oversee corporate insurance programs, including renewals, claims, and broker coordination
- Support development and execution of enterprise risk management processes
- Conduct risk assessments, maintain risk registers, and prepare reporting for leadership
- Partner with internal teams to identify and mitigate ...