As a Compliance & Treasury Manager, you will plan and perform operational and financial audits, identify business process risks and develop strong controls to protect the organization. Additionally, you will manage the day-to-day international cash management operations, setup new accounts and processes, maintain cash forecasts, participate in financial reporting and help optimize the company's liquidity and return on excess cash. The right person for this role is detail-oriented, organized, proactive, a strong communicator, and a team player, committed to promoting a collaborative and team oriented environment.
What you do:
Valid through: 2020-2-19