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The Corporate Institute is seeking an experienced treasury professional to lead our treasury operations, including debt management, working capital, cash flow, banking relationships, FX risk management, and regulatory compliance. You will work with the President – Finance and senior leadership to optimize liquidity and funding.
You will oversee bank facilities, SBLCs/BGs, hedge exposures, and regulatory adherence, coordinating with finance and business teams to deliver timely treasuries insights
We are looking for an experienced Treasury professional to lead the company’s treasury operations, including debt management, working capital, cash flow, banking relationships, foreign exchange risk management, and regulatory compliance. The role will work closely with the President – Finance and senior leadership to optimize liquidity, funding, and financial risk management.
President – Finance
Manufacturing