Head of Treasury

Job description

Are you an experienced financial individual?

Our client is a growing financial institution on the Maltese Islands, and they are on the hunt for a Head of Treasury who will be responsible for the daily treasury operations.

The Head of Treasury will also be responsible for cash flow management forecasting, preparing treasury reports on a periodic basis, carrying out analysis of new asset classes. The successful individual will also be monitoring the liquidity ratios and foreign currency payments.

Ideally you possess a Degree level of education within Banking, Finance or relevant, knowledge of Bloomberg and financial markets, and have a minimum of 5 years’ experience within a similar position.

 

Reach out and schedule a meeting to discuss this unique opportunity with Inna Georgieva - πŸ“© inna.georgieva@reed.com / ☎ +356 9903720545

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