Job Description
Negotiate with the banks and financing facilities the proper funding tools for the business.
Develop, maintain, and grow banking relationships to obtain most competitive offers.
Prepare required documents for regular renewals with funding banks.
Maintain accurate treasury documentation for all treasury activities
Job Requirements
Bachelor’s Degree in Finance, Accounting, Business Administration, or related field.
Professional Certifications in Accounting/Finance is preferable but not mandatory.
Experience: 1: 2 Years.
Fluent in written and oral English.
Exceptional communication skills, both written and verbal.
Advanced Knowledge of Microsoft Excel.
Understanding of Banking Products and funding instruments.
SAP User.
Analytical and mathematical skills.
Having a knack for engaging in critical problem solving.
Proactive, with a go-getter attitude.
High attention to details and the ability to multi-task.
Excellent relationships with local banks corporate and credit departments.