Richard Pieris Group is one of the largest conglomerates engaged in a wide spectrum of businesses including Plantations, Retail, Manufacturing, Tyre Retreading, Exports, Financial Services, Insurance and other services with more than 28,000 employees.
As part of this position, you will be responsible for the following tasks:
- Duties will include the management of the group's liquidity and funding plans; development of the funding and hedging strategy, carrying out research and analysis; playing a pro-active role in improving the working capital cycle and dealing with banks and financial institutions.
- You will work closely with Financial Controllers in the Group to manage the day-to-day treasury and working capital management duties, whilst having an input to the development of reporting, analysis and control processes.
- This role would suit a fully qualified accountant with CIMA, ACCA or ACA qualification. Full or part qualification in CFA will be an added advantage. You will be having a strong understanding of treasury and core finance principles and exposure with treasury related experience in a reputed company.
- Excellent communication skills both written and verbal together with an inquisitive & self-driven personality with the ability to obtain information from a wide variety of sources are prerequisites.
An attractive remuneration package awaits the right candidate.
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