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Treasury Manager (Freelancer)

3-7 Years
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  • Posted 11 days ago
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Job Description

We are seeking a skilled Treasury Manager to oversee our organization's cash flow, investment portfolio, and financial risk. You'll play a critical role in optimizing liquidity, maintaining financial stability, and leading treasury operations for long-term success.

Responsibilities

  • Manage cash flow and ensure liquidity for operational efficiency
  • Oversee banking relationships, transactions, and risk mitigation strategies
  • Develop and implement cash management plans to optimize working capital
  • Prepare both short-term and long-term financial forecasts
  • Ensure compliance with internal treasury policies and financial regulations

Key Skills & Experience

  • Proven experience in treasury management or financial planning roles
  • Strong understanding of investment strategy, risk management, and cash flow operations
  • Proficiency in treasury management systems and financial software
  • Excellent analytical, problem-solving, and communication abilities

Why Join Us

  • Competitive hourly compensation (up to 1,200/hour; project-based)
  • Flexible hours to suit your schedule
  • Fully remote rolework from anywhere

More Info

Job Type:
Industry:
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Open to candidates from:
Indian

About Company

We are an Enterprise AI firm focusing on RLHF and Custom AI solutions. We are dual incorporated in the US and India (our India office is in Gachibowli, Hyderabad). We are led by an IIT-IIM founding team, and have a highly skilled talent pool. Think PhDs, Engineers, Artists.

Job ID: 120631721