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Treasury Specialist
Job Description & How to Apply Below
Responsibilities
- Leverage in-depth understanding and demonstrate expert knowledge of financial risk management, financial risk assessment, financial risk control, and governance policies, procedures, controls, and business processes.
- Manage and implement financial risk procedures and protocols that support the work of the Finance and Planning Group.
- Establish and implement department-specific policies, systems, and procedures that ensure effective mitigation of financial risk.
- Bachelor’s degree in any discipline and an internationally recognized professional accounting and finance qualification (CFA, CPA, ACA, ACCA, CIMA, CMA).
- 7 years’ experience in a treasury or finance-related environment.
- Solid knowledge of accounting systems.
- Advanced financial knowledge within the area of specialization.
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