The Treasury Director is a key leadership role responsible for overseeing the companys cash management operations, short term liquidity forecasting, capital structure and hedging activities. The role will manage and improve treasury operations for both the Distribution business and the network of 140 retail stores. The Treasury Director will develop cash forecasting models, lead Treasury Management System (TMS) optimizations, help maintain critical banking relationships, oversee financial risk management including foreign exchange (FX), commodity and interest rate hedging, ensure strong internal controls and disciplined financial execution to support Orgills short-term financial targets and strategic growth objectives. This individual will lead and develop a high-performing team of analysts.
Key Responsibilities
Skills & Qualifications