Manage and oversee the company's cash flow, funds, and financial assets to ensure financial stability and compliance with accounting regulations.
Responsibilities
- Overseeing daily treasury operations.
- Implementing treasury policies and procedures.
- Managing banking relationships and negotiations.
- Ensuring compliance with financial regulations.
- Any Other Assignments or tasks given by Teamleader, Manager, Director and CFO
Expected Results
- Effective cash and liquidity management.
- Optimized financial risk management.
- Accurate financial reporting and forecasting.