Offer summary
Qualifications:
Bachelor’s degree in Finance, Accounting, Business Administration, or related field., 2+ years experience in treasury management, finance, or accounting., Strong analytical skills and attention to detail., Proficient in financial modeling and analysis., Knowledge of regulatory requirements related to captive insurance..
Key responsabilities:
- Manage treasury operations including cash management and liquidity forecasting.
- Monitor and analyze cash flow for operational needs and compliance.
- Support preparation of financial reports and regulatory filings.
- Collaborate with stakeholders to develop treasury policies.
- Conduct risk assessments of treasury operations.