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Showing 3 jobs
Skills:
Microsoft Excel, inter-branch fund movement, Liquidity Management, Cash Flow Management, treasury reporting tools, Financial Systems, Treasury Operations
Skills:
budgeting, Cash Flow Management, financial due diligence, financial risk mitigation, Forecasting
Skills:
FX exposure analysis and hedging instruments, Treasury Cash Flow Automation, Multi-currency cash forecasting and liquidity management, Strong Excel and financial reporting skills, Banking platforms and payment systems, SAP Business One HANA
