Treasury Specialist

ubaTaeCJ - مصر - Sharqia
  • Monitor daily cash flow positions in multiple currencies.
  • Prepare cash flow forecasts and projections for international operations.
  • Facilitate efficient cross-border payments and collections.
  • Analyze foreign exchange markets and identify optimal currency exchange rates.
  • Monitor foreign exchange exposure and develop hedging strategies to protect the company's financial position.
  • Stay informed about currency regulations and market trends.
  • Negotiate favorable terms for bank accounts, lines of credit, and other banking products.
  • Maintain strong communication and collaboration with bank representatives.
  • Maintain comprehensive documentation for all financial transactions

Bachelor's degree in Accounting, Finance or a related field .2-3 years of experience in treasury operations or a similar financial role.Strong understanding of foreign exchange markets and currency exchange mechanisms.Experience with foreign exchange transaction platforms and treasury management systems.Excellent analytical and problem-solving skills.Proficient in Microsoft Office Suite and financial modeling tools (Excel preferred).Strong attention to detail and accuracy.Excellent communication and interpersonal skills.Ability to work independently and as part of a team.
تاريخ النشر: ١٨ يوليو ٢٠٢٤
الناشر: Wuzzuf .com
تاريخ النشر: ١٨ يوليو ٢٠٢٤
الناشر: Wuzzuf .com