JOB DESCRIPTION SUMMARY
Responsible for leading core treasury activities while expanding the function's structured trade finance capabilities to support commodity trading growth, liquidity optimization, and working capital efficiency. The role manages cash forecasting, liquidity planning, bank account optimization, affiliate loan administration, letters of credit, treasury systems, and reporting, while also supporting the structuring, negotiation, execution, and monitoring of trade finance and structured working capital solutions. The position partners closely with Commercial, Legal, Risk, Compliance, Operations, Accounting, affiliates, parent companies, and external banking counterparties to deliver fit-for-purpose financing structures, mitigate transaction risk, and enhance operational efficiency during ongoing treasury, offshore service provider, and trading platform transitions.
KEY DUTIES & RESPONSIBILITIES
Treasury, Liquidity & Cash Management
Trade Finance & Working Capital Solutions
Financial Reporting, Systems & Controls
Risk Management, Compliance & Governance
Projects, Analysis & Team Development
COMMUNICATION
Internal Communication
External Communication
JOB REQUIREMENTS
Education & Skills (Required / Preferred)
Experience & Knowledge (Required / Preferred)
Abilities & Specific Requirements (Required / Preferred)
NO THIRD-PARTY CANDIDATES ACCEPTED
Share Apply
Apply for this position
Required*
First Name*
Last Name*
Email Address*
Phone*
Address
Resume*
We've received your resume. Click here to update it.
Attach resume or Paste resume
Attach resume as .pdf, .doc, .docx, .odt, .txt, or .rtf (limit 5MB) or Paste resume
Paste your resume here or Attach resume file
Human Check*
Submit Application