Job Seeker Reactivate Your Account
Thank you, this account has been Deactivated.
Do you want to Reactivate your account?
No
Yes

Treasury Manager

(Treasury )

Vattanac Brewery Limited
Doun Penh | Phnom Penh
  1 Post
Verified This job has been verified by the company as a real job vacancy. 1 week ago
Recruiter active 1 day ago The recruiter at this company was last active reviewing applications.
Sorry, Unable to Apply
x
55%
Please Upload CV Attachment, or update your JobNet Profile to at least 55% of completion.
Upload CV
Update Profile

Treasury Manager

(Treasury )

Vattanac Brewery Limited
Recruiter active 1 day ago The recruiter at this company was last active reviewing applications.
Cambodia - Phnom Penh
Verified This job has been verified by the company as a real job vacancy.

Experience level

Manager

Job Function

Finance, Accounting, Audit

Job Industry

FMCG

Min Education Level

Bachelor Degree

Job Type

Full Time

Job Description

A Good Opportunity for ..

• Overseeing the company’s cash flow liquidity banking relationships and risk management
• Optimize working capital across the company and inventory financing
• Manage relationships with banks and financial institutions
• Managing foreign currency exposure and foreign currency payments
• Analysing various scenarios and risks and reporting to management 
• Forecasting of medium and long- term funding and hedging requirements 
• Daily cash management & debt facilities management
• Interest rate risk management and development of risk mitigation strategies
• Prepare audit workpapers and assist with the annual audit
• Develop strategies to increase ROI and minimize risk and loss
• Develop/Review policies and make recommendations for potential adjustments
 

Open To

Male/Female

Job Requirements

• At least one year of experience in Accounts Receivable, Financial Accounting, or a related area.
• Bachelor’s degree in finance, Accounting, Economics, or a related field.
• Knowledge of Accounting/Finance and Accounts Receivable is preferred
• 4 -5 years’ experience related to treasury management 
• Strong understanding of cash forecasting, liquidity planning, and financial risk management.
• Excellent communication and negotiation skills for managing banking and vendor relationships.
• Ability to thrive in a dynamic, production-oriented environment with seasonal cash flow variability.
 

What We Can Offer

Benefits

-Insurance
-Basic Salary
-Beer Allowance
-Mission Allowance ..etc

Highlights

  • An awesome company
  • Join a winning team
  • You can make a difference

Career Opportunities

  • Opportunities for promotion
  • Possibility for job training
  • Learn new skills and techniques