- Treasury Experience is a must
- Real Estate Asset Management
About Our Client The employer is a reputable real estate asset management.
Job Description As a (Senior) Treasury Officer, your main responsibilities will include:
- Managing daily cash flow and ensuring optimal liquidity levels.
- Developing and executing investment strategies in line with company policies.
- Monitoring financial risks and implementing risk mitigation strategies.
- Preparing treasury reports and providing insights to senior management.
- Collaborating with banks and financial institutions for funding and investment opportunities.
- Ensuring compliance with regulatory requirements and internal controls.
- Supporting the accounting and finance team in treasury-related tasks.
- Contributing to process improvements within the treasury function.
The Successful Applicant A successful (Senior) Treasury Officer should have:
- Educational qualifications in accounting, finance, or a related field.
- Strong knowledge of cash flow management and investment planning.
- Minimum 4-6 years of treasury experience
- Experience in financial risk analysis and mitigation strategies.
- Familiarity with treasury systems and tools.
- Attention to detail and the ability to work effectively under pressure.
- Excellent communication and collaboration skills.
What's on Offer - Comprehensive benefits package, including a discretionary bonus.
- Opportunities for professional growth within the financial services industry.
- Supportive work environment in a medium-sized organization.
- Permanent position with long-term career potential.
If you are ready to take the next step in your career as a Treasury Officer, we encourage you to apply today!