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Confidential Company is seeking a treasury professional with 6–15 years of hands-on experience in cash flow forecasting, liquidity management across multiple currencies and entities.
Responsibilities include end-to-end trade finance operations (LCs, BGs, TR), working capital optimization (AP/AR), supplier financing, and maintaining strong banking relationships while monitoring currency exposure and counterparty risk in a global trading environment.
Confidential Company is seeking a treasury professional with 6–15 years of hands-on experience in cash flow forecasting, liquidity management across multiple currencies and entities.
Responsibilities include end-to-end trade finance operations (LCs, BGs, TR), working capital optimization (AP/AR), supplier financing, and maintaining strong banking relationships while monitoring currency exposure and counterparty risk in a global trading environment.