Industry: Beverage
Our client is a world-class organization renowned for authenticity and high-quality brewing. As we rapidly expand, we are looking for a dynamic and professional Treasury Manager to oversee cash flow, banking relationships, and risk management.
Main Responsibilities:
Manage company cash flow, liquidity, and banking relationships.
Optimize working capital and inventory financing.
Handle foreign currency exposure and payments.
Analyze financial risks and scenarios; report to management.
Forecast medium and long-term funding and hedging needs.
Manage daily cash and debt facilities.
Develop interest rate risk strategies and mitigation plans.
Prepare audit workpapers and assist with annual audits.
Develop strategies to improve ROI and minimize risks.
Review and recommend adjustments to treasury policies.
Requirements: