Our client is a prestigious international oil trading firm with a strong foothold in global markets. Renowned for their expertise and expansion efforts, they are currently seeking a highly skilled Treasury & Trade Finance Manager to join their European operations team.
Position Overview: In partnership with our esteemed client, we are actively seeking a proficient Treasury & Trade Finance Manager to oversee treasury operations and trade finance activities in support of the company's European expansion. This role presents an exciting opportunity for a qualified professional to contribute to the growth and success of a dynamic and rapidly evolving organization.
Key Responsibilities:
- The selected candidate will be tasked with managing treasury functions, including cash flow forecasting, liquidity management, and risk mitigation strategies.
- They will also oversee trade finance activities, including negotiation of trade facilities, letter of credit issuance, and credit insurance arrangements.
- Developing and nurturing relationships with banks, financial institutions, and trading partners to facilitate financing requirements is a crucial aspect of the role.
- Keeping abreast of market trends and regulatory developments to optimize treasury and trade finance strategies will also be part of the responsibilities.
- Collaboration with internal teams, such as trading, finance, and risk management, to ensure the smooth execution of treasury and trade finance activities will be essential.
- Additionally, the incumbent will be responsible for preparing financial reports and analyses to support decision-making and reporting needs.