Responsibilities:Manage daily cash flow and liquidity, ensuring optimal fund utilization.Conduct comprehensive financial analysis to support investment and hedging strategies.Prepare and review treasury reports, forecasts, and budgets.Oversee banking relationships and manage bank accounts, ensuring efficient operations.Implement and monitor risk management strategies related to currency, interest rates, and commodity exposures.Ensure compliance with internal policies and external regulatory requirements.Collaborate with various departments to optimize financial processes and reporting.Skills & Technologies: You will leverage your strong background in Accounting, Finance, and Treasury. Proficiency in Financial Analysis, Cash Management, and Financial Reporting is essential. Experience with banking systems and advanced Excel skills will be highly valued. Experience the Thrill: Bring 3-7 years of hands-on experience in a dynamic accounting or finance role, specifically within treasury operations or a closely related field.Master of Finance: Possess a solid foundation in Accounting, Finance, and Treasury principles.Analytical Prowess: Demonstrate exceptional skills in Financial Analysis, with a keen eye for detail and data interpretation.Cash Flow Champion: Proven experience in Cash Management, including forecasting, liquidity management, and banking operations.Risk Navigator: A strong understanding and practical application of Risk Management principles.Reporting Excellence: Ability to produce accurate and insightful Financial Reporting.Strategic Thinker: Experience with Budgeting and Forecasting to support strategic financial planning.Tech-Savvy: Proficiency in relevant financial software and advanced Microsoft Excel is a must.Career Level: This is an Experienced level position, perfect for a professional ready to take on significant responsibilities and drive impactful financial decisions.