Treasury Manager
Job Description
A Treasury Manager oversees an organization's financial assets, managing liquidity, investments, and risks to optimize cash flow. Significant in steering financial stability, they ensure compliance and strategic funding. Key responsibilities include forecasting, cash management, and reporting. Required skills include analytical thinking and proficiency in financial software. Typically working in a corporate finance environment, they collaborate with CFOs, accountants, and analysts. Growth opportunities include advancing to senior finance roles or executive positions like CFO.