Cash Flow Management : Forecasting, planning, and optimizing cash inflows and outflows.
Risk Management : Identifying, assessing, and mitigating financial risks, including interest rate risk, credit risk, and liquidity risk.
Funding and Debt Management : Managing the bank's funding needs, including raising capital and managing debt obligations.
Trade Finance : LC documents management, discounting with best rate available.
Forex Management : Managing foreign exchange exposures and undertaking hedging activities to minimize currency fluctuations.
Compliance : Ensuring adherence to regulatory requirements.
Reporting and Analysis : Preparing and presenting treasury reports to senior management and stakeholders, including performance reporting and financial analysis.
Relationship Management : Building and maintaining relationships with banks, clients, and other stakeholders.
Process Improvement : Identifying opportunities to improve treasury processes and operations, such as implementing new technologies or systems.
Preferred candidate profile
Financial Expertise : Strong understanding of banking and trade finance.
Analytical Skills : Ability to analyze financial data, make informed decisions, and prepare reports.
Communication and Interpersonal Skills : Ability to communicate effectively with various stakeholders, including banks, senior management, and regulatory bodies.
Technical Skills : Proficiency in treasury management systems, Microsoft Office, and other relevant software.
Problem-Solving Skills : Ability to identify and resolve financial problems and issues.