Strategic Cash & Liquidity Manager; Treasury
Position: Strategic Cash & Liquidity Manager (Treasury)
A financial services firm is seeking a Treasury Cash Management Manager to lead cash operations and liquidity strategies. This role involves managing bank relationships, optimizing cash flow, and ensuring compliance with regulations. The ideal candidate will have a degree in Finance or Accounting, considerable experience in treasury or cash management, and strong analytical skills. This position offers a hybrid/remote work model.
#J-18808-Ljbffr
Apply tot his job
Apply To this Job