Well established management team with years of tenure just brought Treasury functionality to this office from HQ. Position is newly created due to business growth. Offers tremendous work life balance with great culture and stability. Director is a strong leader and will provide good exposure including international.
Major Areas of Responsibility
- Maintain cash management and reporting
- Establish and maintain banking relationships
- Oversee fund movement and wires
- BA in Accounting, Finance or related area
- Ideally one of experience of Treasury experience
- Must have strong excel skills