Treasury Manager
Description du poste
We're looking for a resourceful, proactive, and passionate Treasury Manager who's passionate about driving results. In this role, you'll design and implement cash flow strategies across Niger, optimize currency exchange (FX) operations, and anticipate liquidity needs to ensure our money transfer service runs smoothly and efficiently. This is a highly data-driven role, so strong skills with spreadsheets, charts, and cash management tools are essential. In this role, you'll: Propose and implement cash rebalancing solutions across our agent network to optimize liquidity and enhance operational efficiency. Build and nurture strong partnerships with our banking institutions. Manage daily banking operations efficiently and accurately. Identify key liquidity challenges and develop innovative strategies to address Wave's cash flow needs. Oversee FX operations with a deep understanding of Niger's forex market. Forecast cash requirements to maintain optimal balances in our bank accounts. Monitor bank balances, fees, and transactional activity closely. Manage Efloat creation, destruction, and buffer levels to ensure seamless operations. Coordinate the timely collection and deposit of cash by agents into the appropriate bank accounts.
Prêt à postuler ?
Conseil Sécurité
Ne versez jamais d'argent pour obtenir un entretien. Taf4All ne vous contactera jamais pour vous demander des frais de dossier.