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Career in Treasury Management Banks help their customers manage their money, but who manages a bank's money? How does a bank decide where to invest its capital across its business and how much to hold back in reserve? How does a bank make sure that each of its business areas has enough cash to serve its clients and function efficiently while keeping enough cash available centrally at all times to cover any unexpected market developments? Treasury Managers are the ones responsible for overseeing the cash flow, revenue and overall finances of an organization. They evaluate fiscal choices, monitor expenses, advise colleagues and are usually expected to frequently travel in order to meet with financial contracts. Treasury Managers work in an office environment alongside a team of coworkers and can be employed by investment firms, retail companies, financial agencies and many other types of organizations. They typically report to one or more senior-level staff members, such as the Chief Financial Officer, while simultaneously overseeing a diverse team of junior-level employees. Learn more: https://lnkd.in/f4FZEit
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