Role Purpose:
As a Sr. analyst in the Treasury function of the company, your primary responsibility will be to Manage cash efficiently, by ensuring timely payments to vendors, maximizing yields on surplus cash, and handling debt arrangements with financial institutions. You will work closely with the budgeting team in Finance, Development team, and various stakeholders to provide accurate information to actively contribute to the financial decision-making processes. Your role will involve analyzing company performance monthly from cash management perspective such as cash flow forecasting, following money market instruments for investments, capital markets for debt raising, and providing recommendations to improve efficiency, profitability, management reporting processes and systems in use.
Roles & Responsibilities:
Knowledge & Experience:
