




Job Summary: We are seeking a Treasury Manager to ensure financial stability, operational efficiency, and profitability by guaranteeing a consistent cash flow. Key Responsibilities: 1. Manage funds for daily and long-term operational liquidity 2. Estimate revenues and expenses to identify potential shortfalls 3. Implement policies to protect financial resources and prevent losses We Are Hiring **Treasury Manager** **Objective:** Ensure financial stability, operational efficiency, and profitability by guaranteeing a consistent cash flow necessary to cover expenses and capitalize on investment opportunities. **Responsibilities:** * Manage available funds to ensure sufficient liquidity for daily and long-term operations. * Estimate revenues and expenses to identify periods of potential shortfall. * Ensure timely and accurate payments to suppliers, loans, taxes, and other financial obligations. * Implement policies and procedures to protect financial resources and prevent losses. **Qualifications:** Bachelor’s degree in Public Accounting 3–5 years of verifiable experience in the role Skills: Leadership, Communication, Strategic Thinking, Problem Solving. **We Offer:** Biweekly Pay Statutory Benefits from Day One Job Stability **Interested candidates may apply through this channel.** Employment Type: Full-time Salary: Starting at $18,000.00 per month Education: * Completed Bachelor’s Degree (Preferred) Work Location: On-site Employment


