About the Job: Treasury & Cash Management Manager (SAP Business One HANA | Multi-Country Operations) Work Set-up: Work from home (with occasional on-site meetings) Job Purpose: To manage and optimize daily treasury operations across multiple countries,
A Market Risk and Portfolio Officer monitors, quantifies, and controls financial risks arising from banking book and trading book movements, ensuring portfolio exposures align with regulatory frameworks and the bank’s internal risk appetite. Primary Objective : Protect
We are recruiting on behalf of a client for a Treasury Risk Management Specialist who will support the organization’s financial stability through treasury analysis, liquidity planning, foreign exchange risk management, hedging, investments, and sustainable finance initiatives. Key