Treasury Director – Senior Treasury Manager – Collections – Revenue – Cash Management – Cast Forecasting – Foreign Currency – FX – SOX – M&A – CTP – Certified Treasury Professional
Are you an experienced treasury leader ready to join a high growth company? Are you capable of managing cash while also being a strategic partner? If so, then we are working on a Treasury Director opportunity that you may be a great fit for so read more about the opportunity below!
An East LA services company is looking for a Treasury Director to join their team in a newly created role due to growth. Reporting to the CFO, the Treasury Director will be responsible strategic capital and cash management, building out treasury functions, and overseeing collections and incoming revenue. To be successful in this role, the Treasury Director must be strong in operational treasury, cash forecasting, organization, and have great communication skills. Know someone like this? Or is this you? If so, please read the full Treasury Director job description below to see if there is a match!
What do you need in this Treasury Director role?
What will you do in this Treasury Director role?
What is in this Treasury Director role for you?
So, if you are a strategic treasury leader with large company and international experience then we want to hear from you! Please apply for this Treasury Director opportunity today as we would love to hear from you!
Original source: Career Builder