Position Overview
Unlock your potential as a Treasury Associate in a private holding company, focusing on cash management and liquidity. Maintain bank relationships and monitor cash movements effectively.
This position involves monitoring day-to-day cash flows while managing ongoing funding requirements. You will be responsible for preparing reports, engaging in short-term investing, and executing foreign exchange transactions. Join a collaborative environment that values solutions-oriented approaches and continuous learning in the Treasury sector.
Key Responsibilities:
β’ Manage daily cash positions and funding requirements
β’ Oversee bank accounts and prepare relevant funding requests
β’ Act as primary liaison for risk management with banks
β’ Update and produce reports on cash flow and funding needs
β’ Support short-term investing and foreign exchange requirements
Requirements:
β’ 2-5 years of Treasury experience required
β’ Re...