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We are seeking an accomplished and highly strategic Treasury & Cash Management Lead
to direct our global treasury operations and liquidity frameworks. In this role, you will be
responsible for the financial stewardship of our liquid assets, capital funding strategies, and
corporate banking infrastructure.
With 7+ years of progressive corporate treasury experience, you will act as the operational
and strategic anchor—leading a high-performing treasury team, managing tier-1 banking
relationships, enforcing strict internal controls, and optimizing Oracle ERP to maximize cash
visibility, automate workflows, and mitigate capital risks.
Role
Lead
Qualifications
BACHELOR OF COMMERCE
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