Job Expired

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Treasury Manager

OVID Construction PLC

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Finance

Accounting

Addis Ababa

1 Position

2024-02-16

to

2024-02-26

Required Skills
Required skills have not yet been specified for this position this job
Fields of study

Accounting

Business Administration and Management

Business Administration

Accounting & Finance

Full Time

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Job Description

Ovid Real Estate Company is currently seeking qualified and enthusiastic individuals to join our dynamic team. We believe in fostering a collaborative and innovative work environment, and we invite you to explore the following exciting career opportunities:

Job Specifications: 

Cash Management:

  • Develop and implement effective cash management strategies.

  • Optimize cash flow to meet operational needs and maximize returns on idle funds.

Banking Relations:

  • Manage relationships with banks and financial institutions.

  • Negotiate banking services, fees, and terms.

Investment Management:

  • Develop and implement investment strategies for surplus funds.

  • Monitor and assess investment performance and risks.

Risk Management:

  • Implement risk mitigation strategies related to interest rate, foreign exchange, and liquidity risks.

  • Develop and maintain risk management policies.

Debt Management:

  • Manage and optimize the organization's debt portfolio.

  • Evaluate and recommend financing options when needed.

Treasury Reporting:

  • Prepare and present regular reports on cash positions, cash forecasts, and treasury activities.

  • Provide insights and analysis to senior management.

Treasury Systems:

  • Oversee the implementation and utilization of treasury management systems.

  • Stay updated on advancements in treasury technology.

Compliance Oversight:

  • Ensure compliance with financial regulations, accounting standards, and internal policies.

  • Coordinate with internal and external auditors.

Cash Forecasting:

  • Develop and maintain accurate cash forecasting models.

  • Anticipate future cash needs and surpluses.

Treasury Policies:

  • Develop and update treasury policies and procedures.

  • Ensure alignment with organizational goals and industry best practices.

FX Management:

  • Oversee foreign exchange exposure and develop strategies to manage currency risk.

  • Collaborate with international teams to address FX-related challenges.

Training and Development:

  • Provide training to the treasury team and other relevant staff on treasury best practices.

  • Foster a culture of continuous learning and skill development.

Required Number: 1(One)

Job Requirements

Education:

  • Bachelor’s Degree in Finance, Accounting, Business Administration or a related field.

  • Professional certifications (e.g., Certified Treasury Professional - CTP) are advantageous.

Experience:

  • Proven experience in treasury, cash management, or a related financial role.

  • Significant experience in a managerial or supervisory capacity.

Financial Acumen:

  • In-depth understanding of financial markets, investment strategies, and cash flow management.

  • Familiarity with risk management principles.

Analytical Skills:

  • Strong analytical and quantitative skills.

  • Ability to analyze financial data, identify trends, and make informed decisions.

Communication Skills:

  • Excellent communication and interpersonal skills.

  • Ability to effectively communicate with internal and external stakeholders.

Technology Proficiency:

  • Proficient in using treasury management systems and financial software.

  • Familiarity with banking platforms and electronic payment systems.

Leadership Skills:

  • Strong leadership and management skills with the ability to lead a treasury team.

  • Experience in fostering a culture of financial responsibility and efficiency.

Regulatory Compliance:

  • Knowledge of financial regulations and compliance standards related to treasury functions.

  • Ensure adherence to legal and regulatory requirements.

Global Treasury Experience:

  •   Experience in managing treasury functions on a global scale, including exposure to international banking and foreign exchange.

Negotiation Skills:

  •   Excellent negotiation skills for banking agreements, investment opportunities, and other financial transactions.

  • Ability to secure favorable terms for the organization.

How to Apply

Interested and qualified applicants can apply through THIS LINK

Fields Of Study

Accounting

Business Administration and Management

Business Administration

Accounting & Finance

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