Treasury Manager

DHD Consulting

  • North Carolina
  • 14 days ago

    Highlights

    Provide regular cash flow forecasts and assist in identifying liquidity risks, reporting findings to the treasury team and senior management. -Support external relations with banks and financial institutions, assisting with corporate funding requirements and ensuring compliance with loan agreements.

    Numbers & Facts

    LocationNorth Carolina
    Websitehttps://www.careerdhd.com

    Description

    Key Responsibilities:
    -Assist with the development and implementation of treasury policies,
     procedures, and controls to optimize cash management.
    -Collaborate with finance and accounting teams to ensure alignment of   treasury activities with overall business objectives.
    -Monitor daily cash flow, optimize cash reserves, and manage banking
     relationships to ensure efficient liquidity
    -RiskAssessment; identify financial risks and develop strategies to mitigate   them,including foreign exchange and interest rate risks.
    -Support external relations with banks and financial institutions, assisting   with corporate funding requirements and ensuring compliance with loan   agreements.
    -Prepare documentation and reports related to funding activities, including
     repayment schedules and communication with the parent company.
    -Monitor daily payments and disbursements, ensuring timely and accurate
     execution in accordance with internal financial controls.
    -Provide regular cash flow forecasts and assist in identifying liquidity risks,
     reporting findings to the treasury team and senior management.
    -Utilize SAP or similar financial systems for treasury reporting and data
     management, ensuring accuracy and timely access to financial information.
    -Stay informed of market trends and conditions that may impact the   companys cash flow or funding strategies.
    -Perform administrative duties impact cashflow, financials, and treasury
     department, such as generating and distributing memos, insurance   contracts, and sorting and distributing incoming mail etc.

    Qualifications:

    -5-10 years of experience in treasury or a related finance role, with a   preference for experience in the manufacturing industry.
    -Bilingual proficiency in Korean and English required
    -Experience with SAP or similar ERP systems.
    -Strong understanding of cash flow management, payment monitoring, and
     financial controls.
    -Excellent organizational and analytical skills with attention to detail.
    -Strong communication and interpersonal skills, with the ability to work
      effectively within a team.
    -Ability to manage multiple priorities in a fast-paced environment.

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