Job Openings Group Treasury Manager

About the job Group Treasury Manager

Job Responsibilities: 

Cash Management & Liquidity Planning

  • Oversee daily cash positioning and liquidity across all Group entities.
  • Develop and maintain short-, medium-, and long-term cash flow forecasts.
  • Optimize cash pooling structures and intercompany funding arrangements.
  • Ensure sufficient liquidity to meet operational, capital expenditure, and debt service requirements.
  • Monitor cash balances and recommend surplus cash investment strategies.

Funding & Capital Structure

  • Manage Group funding requirements, including short-term facilities, term loans, and trade finance.
  • Support refinancing activities, new debt negotiations, and covenant monitoring.
  • Prepare funding proposals and recommendations to senior management.
  • Coordinate with external lenders and financial institutions on credit facilities.
  • Support M&A, expansion projects, and capital investments from a treasury perspective.

Banking & Relationship Management

  • Act as the primary point of contact for banks and financial institutions.
  • Negotiate banking fees, terms, guarantees, letters of credit, and credit facilities.
  • Maintain and rationalize bank accounts across the Group.
  • Lead bank KYC, compliance, and account opening processes.
  • Periodically review bank performance and service quality

Financial Risk Management

  • Identify, monitor, and manage financial risks including FX, interest rate, and liquidity risks.
  • Design and implement hedging strategies in line with Group risk appetite.
  • Monitor market developments and assess potential financial impacts on the Group.
  • Establish treasury policies for risk management and ensure adherence.
  • Report risk exposures and mitigation actions to senior management.

Treasury Policies, Governance & Controls

  • Develop, implement, and maintain Group Treasury Policies and procedures.
  • Ensure strong internal controls over cash, payments, and banking activities.
  • Oversee authorization matrices, payment controls, and segregation of duties.
  • Ensure compliance with internal policies, audit requirements, and regulatory standards.

Reporting & Stakeholder Management

  • Prepare periodic treasury reports covering liquidity, debt, covenants, and risk exposures.
  • Provide insights and recommendations to the Group CFO and Executive Management.
  • Coordinate with Finance, Accounting, Tax, and Legal teams on treasury-related matters

Qualifications: 

  • 12+ years of treasury or corporate finance experience, with Group or multi-entity exposure.
  • Strong experience in cash management, funding, and banking relationships.
  • Exposure to FX and interest rate risk management.
  • Bachelor's degree in finance, Accounting, Economics, or related field.
  • Additional certification in Data Analytics/ Project Management
  • Professional certification preferred (e.g., CTP, CFA).