We are seeking a seasoned and strategic Director of Treasury and Cash Management to lead and establish best-in-class treasury operations for our growing organization. This role will be pivotal in building out robust cash management processes, implementing forecasting models, and driving strategic financing decisions to support the operational and financial objectives of the company.
This role is hybrid 2 days a week in office.
The Key Responsibilities include the following:
To be considered for this role, our client is looking for someone with the following skills/qualifications:
If you are qualified and interested in this position please send your updated resume in MS Word to Anojiha Kirupananthan at Anojiha@ifgpr.com today.