Role: Treasury Specialist
My client is a leading aviation company with a vacancy for a treasury professional to join on a two year basis.
The successful candidate will perform a key strategic and operational role in risk management including jet fuel price, foreign currency exchange price, interest rate exposures and counterparty credit risk as well as liquidity management.
The role will also involve treasury operations including cash management, funds investment, 3rd party payments and Treasury Management Systems.
2 years Treasury experience or Banking Practitioner with a minimum two years practical treasury experience
Proven knowledge of Treasury practice, products and financial evaluation techniques
Knowledge of IFRS accounting requirements as they relate to treasury products ideally
Strong numerical, analytical and computer skills with the ability to work to tight deadlines
Proven interpersonal skills with the ability to build and maintain positive working relationships