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Treasury Manager

Kandil Industries
10th of Ramadan City, Cairo
Posted 2 months ago
98Applicants for1 open position
  • 92Viewed
  • 9In Consideration
  • 83Not Selected
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Job Details

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Job Description

  • Lead treasury preparation process and directing continues controlling, revising, and reporting. 
  • Manage investments on behalf of the company, use various strategies to manage funds. 
  • Create financial reports and work with the company to outline future financial goals and strategies. 
  • Prepare proper feasibility studies for new projects and monitor current investments. 
  • Analyze financial information (e.g. revenues, expenditures, and cash management) to ensure all operations are within budget. 
  • Review interest, commissions and bank charges consistently. 
  • Negotiate facilities terms and rates with banks. 
  • Reviewing facilities contracts & conditions and ensure that the company can meet those conditions. 
  • Contribute to short and long-term organizational financial planning and strategy as a member of the management team. 
  • Monitor and manage the organization’s bank relationships and liquidity management. 
  • Supervise all lines of the treasury (Cash management –loan Management). 
  • Forecast cash flow positions, related borrowing needs, and available financing for investment. 
  • Review the financial position against the budget and rolling forecast. 
  • Provide required information to other business areas to ensure clarity concerning financial performance and financial requirements. 
  • Provide any required information to higher management in a professional and timely manner for effective decision making.
  • Ensure that a company's cash flow is adequate to allow it to operate effectively. 
  • Forecast cash payments and anticipate challenges arising from limited cash flow. 
  • Undertake risk management activities to protect a company's financial well-being. 
  • Evaluate the financial impact of new business ventures. 
  • Negotiate loan or overdraft terms with company bankers. 
  • Manage relationships with financial service providers. 
  • Monitor the Forex risk based on bank reports and currency expected directions. 
  • Prepare management and board reports.

Job Requirements

  • Bachelor’s Degree, Faculty of Commerce, Accounting
  • 15+ years of experience in treasury department with at least 5yrs managing the treasury department and funding strategies
  • CTP is a plus
  • Strong experience managing treasury functions
  • Experience in preparing financial treasury models
  • Experience in managing and preparing cash flow
  • Knowledge of cash planning and forecasting
  • Very Strong bank relations

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