កម្ពុជា។
Treasury Manager
(Treasury )
កម្រិតបទពិសោធន៍
មុខងារការងារ
វិស័យការងារ
កម្រិតអប់រំ
ប្រភេទការងារ
ការពិពណ៌នាការងារ
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
បើកទៅកាន់
លក្ខខណ្ឌការងារ
• 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.
អ្វីដែលយើងផ្ដល់
អត្ថប្រយោជន៍
រំលេច
ឱកាសការងារ
ដាក់ពាក្យសម្រាប់ការងារនេះ
ការងារដែលស្រដៀងបន្ថែម
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