Storm4 · 17 hours ago
Vice President Treasury
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Responsibilities
Oversee all aspects of corporate treasury operations, including capital structure management, cash flow forecasting, financial risk mitigation, and capital markets transactions.
Collaborate with cross-functional teams, manage banking relationships, and ensure compliance with financial regulations to support the company’s growth objectives.
Focus on optimizing liquidity, negotiating financial instruments, and aligning financial strategies with organizational goals.
Maintain financial stability, manage risks, and support strategic initiatives, including M&A activities and capital markets engagement.
Qualification
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Required
Bachelor’s degree in Finance, Accounting, or a related discipline
More than 10 years of experience in treasury, corporate finance, or capital markets, including at least 5 years in senior leadership roles
Strong knowledge of corporate treasury management, capital markets, and financial risk management
Proven ability to manage complex banking relationships and financial instruments effectively
Exceptional financial modelling, forecasting, and liquidity planning skills
Leadership experience with a history of building and managing high-performing teams
Outstanding communication and interpersonal skills, with the ability to collaborate across functions
Familiarity with financial regulations and compliance requirements
Preferred
MBA or CFA designation
Experience in high-growth industries such as clean energy or technology