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Position Description
The Liquidity Manager role sits within the Treasury department that is responsible for all aspects of treasury risk management including liquidity management, cash flow forecasting, foreign exchange, interest rate risk management, collateral management and margining. This role will be directly responsible for JERAGM's immediate holding company, JERA Trading International Pte Ltd (JERATI)'s liquidity activities.
The Treasury department is a team-based environment that values interaction, exchange of ideas and techniques, and is a huge advocate of continuous improvement. The flat team structure supports access to all levels of management across the organisation to ensure that analysis and judgements are comprehensive and complete.
Key Role Responsibilities
The Liquidity Manager will:
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