Vacancy Description
Job Description
Cash & Liquidity Management
- Own daily corporate liquidity positions and drive the monthly/rolling cash flow forecasting process.
- Analyze forecast-to-actual variances meticulously to improve model accuracy and advise senior management on long-term liquidity strategies.
- Oversee complex bank reconciliations and resolve critical discrepancies.
Banking & Financial Operations
- Structure and manage corporate finance transactions (Bank Guarantees, Banker's Acceptances, and new/existing credit facilities).
- Actively maintain relationship management with banks; negotiate competitive credit facilities, pricing, and ensure strict compliance with loan covenants.
- Formulate and execute FX hedging strategies; lead currency exposure identification activities to mitigate market risk.
- Liaise with internal and external stakeholders to ensure smooth day-to-day treasury operations.
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